
Active Fixed Income at L&G
Investing for the long term
Why L&G for Active Fixed Income?

Heritage
With a heritage in insurance dating back to the 1800s, our foundations are deeply rooted in the analysis and understanding of risk. We believe this is intrinsic to successfully navigating investment opportunities in active fixed income.

Risk aware
We aim to generate consistent returns by taking considered risk in areas where structural, behavioural and unique factors create opportunities.

Distinctive approach
Fixed income, equity and responsible investment experts are closely connected by a global research and engagement platform. This cross-asset class approach enables open debate to uncover risks and opportunities that may be missed by a more traditional single-asset class.
Active fixed income strategies
We provide a broad range of active fixed income strategies that can be used individually or combined to help meet diverse client needs.
Global Unconstrained
Global Benchmarked
Pan European
Emerging Market Debt
Global High Yield
US Securitised
The value of an investment and any income taken from it is not guaranteed and can go down as well as up, and the investor may get back less than the original amount invested.
Adding value is at the heart of our philosophy
Whatever your outlook, we believe a stable and risk-aware style of managing active fixed income can help uncover potential opportunities, avoid systemic risks and respond quickly to changing market conditions

Constrained investors
Rules-based investors create opportunities for active managers that we believe can be consistently exploited.

Behavioural biases
We consistently ask questions to determine when markets systematically over and undershoot.

Analytical blindspots
We exploit overlooked fundamentals that can add value.
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Get in touch
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Key risks
The value of an investment and any income taken from it is not guaranteed and can go down as well as up, and the investor may get back less than the original amount invested.
Whilst L&G has integrated Environmental, Social, and Governance (ESG) considerations into its investment decision-making and stewardship practices, this does not guarantee the achievement of responsible investing goals within funds that do not include specific ESG goals within their objectives.
The risks associated with each fund or investment strategy should be read and understood before making any investment decisions. Further information on the risks of investing in this fund is available in the prospectus here:



