What is Flexible Fixed Income investing?

Flexible Fixed Income investing aims to optimise returns from within a specific investment universe by moving away from strict adherence to a particular benchmark.

Why consider Flexible Fixed Income investing?

We believe that the current, volatile, low-yield environment requires new ways of thinking about return and a greater focus on unconstrained investment strategies.

Our approach to Flexible Fixed Income

Our flexible strategies aim to deliver performance with a low correlation to both interest rate and credit risk, through flexible asset allocation within the Fixed Income universe.

Avoiding benchmark allocations, our strategies are instead invested across defined risk buckets and seek return opportunities from a diverse set of Fixed Income strategies.

This page is for informational purposes only and does not constitute on the part of AXA Investment Managers or its affiliated companies an offer to buy or sell any investments, products or services and should not be considered as a solicitation or as investment, legal or tax advice. The strategies discussed herein may not be available in all jurisdictions and/or to certain types of investors. Opinions, estimates and forecasts herein are subjective and subject to change without notice. There is no guarantee forecasts made will come to pass. No guarantee, warranty, or representation is given as to the accuracy or completeness of this material. Reliance upon information in this material is at the sole discretion of the reader. This material does not contain sufficient information to support an investment decision.