Business Spectrum✨

BOND

For qualified investors

Is your bond strategy designed to navigate a volatile market?

In today’s environment of low yields and modest returns, every dollar matters. Whether you’re in retirement or investing for long-term growth, maintaining consistent performance and keeping fees low are essential to reaching your financial goals.

What are the current challenges in the fixed income market?

What was effective in the past may no longer be suitable due to the current challenges. Consider implementing a bond strategy that tackles these issues:

Higher volatility

The current phase of liquidity withdrawal, the cessation of quantitative easing, and ongoing economic uncertainty are revealing new market vulnerabilities. Develop a fixed income strategy that addresses these challenges.

Navigate changing bond markets

In today’s fast-moving and unpredictable environment, investors require access to a variety of funds that can adapt to the evolving market conditions. Volatility, while challenging, can also present opportunities…

Access a wider opportunity set

With varying global growth, differing monetary policies, and diverse fixed income performances, investing in a global bond portfolio can open up more opportunities to generate returns and dividends…

Bond Valuation

Grow Up employs bond valuation as a method to assess the theoretical fair value of a bond. This process involves calculating the present value of a bond’s future interest payments, known as cash flows, as well as the bond’s face or par value at maturity. Since the par value and interest payments of a bond are fixed, bond valuation helps investors determine the necessary rate of return to make the bond investment worthwhile.

So what do I do with my money?

It may be the right moment to consider investing in more flexible, unconstrained strategies—ones that can explore the entire global fixed-income market for opportunities and swiftly adjust to changing market conditions. Grow Up’s range of unconstrained bond funds benefits from the firm’s vast network of fixed-income experts worldwide, its distinctive risk management capabilities, and access to ideas, information, and investment opportunities that few other managers can offer.