The JPMorgan Global Strategic Bond gives investors access to diversified fixed income ideas and opportunities across the globe.
The high-conviction, unconstrained bond fund aims to deliver returns of 3% over cash over a market cycle.
A team of three dedicated unconstrained portfolio managers tap into the best ideas generated using top-down decisions, such as sector allocation, duration management and currency exposure. This is coupled with sector specialists performing bottom-up security selection.
In the accompanying article, portfolio manager Iain Stealey shares how J.P. Morgan seeks to identify the best fixed income ideas around the world using proprietary risk analysis tools unique to the JPMorgan Global Strategic Bond Fund.