Benefit from attractive returns and coupon payments throughout the ownership period of a bond
Invest in high-quality issuers over periods that match your investment horizon
Have the possibility if desired to sell bonds before maturity
Make the most of rising prices in some bonds in highly specific contexts
Our Solutions
Clear advice for a complex investment environment: sovereign bonds, corporate bonds (financial and non-financial) that are more or less leveraged, mature and emerging markets, senior and subordinated rankings, fixed and floating coupons, inflation-indexed bonds, bonds in various currencies, etc.
Access to both primary and secondary markets thanks to experienced instruction implementation teams.
Our Abilities
A worldwide network of bond specialists working as a team with a common goal and using in-house and external research and analyses
Identify the type of bond to take or avoid in light of developments in the economic cycle
State whether a bond market segment is expensive or attractive despite the degree of sophistication of some bonds. Risk planning
Select a list of bonds recommended for purchase (sectors, issuers, durations, ratings) on the basis of shared convictions