As interest rates and bond yields have fallen over the last 30 years, investors have expanded their investment scope, moving beyond traditional domestic government bonds to include international government bonds and corporate bonds.
Addressing this investor demand, the JPMorgan Global Strategic Bond Fund explores the full scope of fixed income return and diversification opportunities. The high-conviction, unconstrained bond fund seeks to maximise total returns through a flexible and dynamic approach to investing in global fixed interest markets.
In our latest edition we interview J.P. Morgan Asset Management fund manager Nick Gartside. He says the Global Strategic Bond Fund is an absolute return strategy that is regarded as a complement to core bond holdings such as Australian sovereign bonds and high-grade corporate bonds.
Read the article here for more.