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Core ETFs

When it comes to core, investors should expect more

We believe investors should expect more from core. L&G’s core ETF range reimagines foundational equity and fixed income building blocks, providing low-cost solutions that draw on our in-depth market experience to add value for investors.

Core fixed income

We have an extensive range of core fixed income ETFs.

Our range draws on our investment deep expertise, broad capability set and commitment to responsible investment.

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What distinguishes L&G’s fixed income ETF strategies?

ESG integration

Our fixed income ETF range is purpose built to give investors core fixed income exposure with ESG integration as standard, through tilting to issuers with stronger ESG profiles, allocating to green bonds, and excluding controversial sectors and UNGC violators.

Liquidity-aware

Our range benefits from an index approach that is optimised for liquidity and benefits from the expertise of our index portfolio managers and our fixed income dealing team. 

Adding value

We have developed techniques to deliver more value when investing in bonds, such as avoiding crowded trades around rating actions and immediately reinvesting coupons; for the benefit of our investors, we are transparently incorporating these into the investment strategy of these ETFs.

L&G ETF

At L&G ETF, we offer solutions that seek to capture the opportunities, and mitigate the risks, of the rapidly shifting investment environment.

Investing more in issuers with strong ESG profiles

The index methodology for these ETFs both removes issuers with the weakest ESG profiles (by excluding sectors such as controversial weapons manufacturers, pure coal miners, and tobacco companies as well as the individual issuers with the lowest ESG scores) and invests more in bonds with the highest ESG scores, while retaining a similar risk/return profile to traditional indices.

Core equity

L&G’s core equity ETF range offers wide-ranging market access.

From avoiding the crowd to raising the bar for companies, we are redefining core equity building blocks, while continuing to focus on cost.

Core Fixed Income

Core Commodities

Investing in a UCITS commodity ETF could help efficiently diversify portfolios, manage inflation risk, and contribute to growth.

Investors can gain access to commodities through an L&G ETF that tracks a transparent, fully rules-based, systematic strategy with a proven long-term track record. 

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It should be noted that diversification is no guarantee against a loss in a declining market.

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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:

This website is for professional / institutional investors only.

The content in this website is for information purposes only and we are not soliciting any action based on it. The information in this website is not an offer or recommendation to buy or sell securities or pursue a particular investment strategy and it does not constitute investment, legal or tax advice. L&G accepts no responsibility for the content of any email communication or a website to which a hypertext link from this site exists. The links are provided 'as is' with no warranty, express or implied.

The term “L&G” or “we” refers to L&G - Asset Management Limited and its subsidiaries. Legal & General Investment Management Asia Limited and LGIM Singapore Pte. Ltd are subsidiaries of L&G - Asset Management Limited.

Hong Kong: Issued by Legal & General Investment Management Asia Limited (BBB488), which is regulated by the Hong Kong Securities and Futures Commission. The information contained in this website has not been reviewed by the Securities and Futures Commission of Hong Kong.

Singapore: Issued by LGIM Singapore Pte. Ltd. (Company Registration No. 202231876W) which is regulated by the Monetary Authority of Singapore. The information contained in this website has not been reviewed by the Monetary Authority of Singapore.