Flexible fixed income strategies offer investors greater levels of risk diversification and the chance to benefit from a broader range of fixed income returns.









More freedom equals more opportunity

   

Benefit from diverse perspectives and integrated solutions


     


Our fixed income funds are specially designed to be flexible, helping them to achieve the best possible balance of risk and return in all market conditions. With no ties to any bond benchmark, these funds are free to make the most of opportunities across the world’s bond markets, from corporate high yield, emerging markets, investment grade and sovereign bonds, right through to foreign exchange. What’s more, the fund manager has the power to adjust exposure to interest rates to protect the value of the funds' investments.


     


We have developed our fixed income capabilities with just one aim - to build stronger portfolios to solve our clients’ needs. Each of our fixed income funds benefits from:


  • A globally integrated team of over 280 fixed income investment professionals
  • A common investment process based on fundamental, quantitative and technical analysis
  • Over 60 years' bond investment experience across market cycles

Source: J.P. Morgan Asset Management. March 2018.


Diversification does not guarantee investment returns and does not eliminate the risk of loss.


     


Our flexible fixed income solutions


   


JPMorgan Funds – Global Bond Opportunities Fund




Broaden the borders of your bond portfolio


The fund aims to achieve a return that beats the benchmark by investing freely in debt securities and currencies, using financial derivative instruments when appropriate.


The fund manager has the flexibility to focus the fund’s resources on the bond opportunities we like the most across 15 fixed income sectors and more than 50 countries.



   


JPMorgan Funds – Global Strategic Bond Fund 




Investing flexibly across global fixed income markets


The fund aims to achieve a return that beats the benchmark by exploiting investment opportunities in the debt and currency markets, using financial derivative instruments when appropriate.


The fund manager targets attractive low-volatility total returns, even when interest rates are rising, by investing flexibly across global bond markets.



   


The future of fixed income





We are committed to sharing the breadth and depth of our investment capabilities and insights to help you build stronger fixed income portfolios.


Get more information about our range of fixed income products and capabilities, and access to our Weekly Bond Bulletin and other reports from our team of fixed income experts.


For professional clients only – not for retail use or distribution. 



   

JPMorgan Funds – Global Strategic Bond Fund


Investing flexibly across global fixed income markets.


The fund aims to achieve a return that beats the benchmark by exploiting investment opportunities in the debt and currency markets, using financial derivative instruments when appropriate. The fund manager targets attractive low-volatility total returns, even when interest rates are rising, by investing flexibly across global bond markets.

The future of fixed income.

FOR PROFESSIONAL CLIENTS ONLY NOT FOR RETAIL USE OR DISTRIBUTION

Changing markets create new challenges and new opportunities

 



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