With a focus on absolute returns, BlueBay Global Alternative Bond Fund is diversified globally and across fixed income asset classes. The fund aims to generate performance through all market environments.
In a low rate environment, returns from fixed income markets are expected to be lower than in the past. An absolute return approach to managing fixed income relies less on market returns and more on the active investment decisions of the portfolio manager.
Fixed income returns in active portfolios
Reduce interest rate riskAn absolute return approach has the potential to deliver performance regardless of whether interest rates are low, high, rising or falling
Build a better portfolioAbsolute return strategies typically have low correlation to other asset classes, providing important portfolio construction benefits
Diversify globallyA global approach provides a broad opportunity set to help further enhance return potential and lower volatility
AccessibleA liquid alternative strategy with straightforward, competitive fees and low minimum investments
Absolute diversificationUnconstrained to traditional fixed income benchmarks, the fund can invest in BlueBay’s best ideas anywhere in the world
Absolute returnsThe portfolio manager may use long-short, market neutral, hedging and currency strategies to generate performance
ExpertiseBlueBay’s diverse team of specialists use proprietary research, a robust process and a collaborative approach to focus on alpha generation
To learn more about BlueBay Alternative Global Bond Fund, speak to an advisor.