Fixed income is a diverse asset class that aims to deliver diversification, income, total return and capital preservation for investors.
The Fixed Income Team at Aberdeen Standard Investments harnesses the full spectrum of fixed income markets, issuers, and credit quality – across public, private and alternative credit. With over 180 fixed income specialists, our depth of knowledge and experience enables us to build a wealth of solutions – from semi-passive to highly active – to meet all investor objectives and requirements.
At the heart of our capability is a disciplined, research-driven and team-based approach. This ensures investment consistency and allows us to target reliable and repeatable outcomes for clients.
Global research network
We offer the scale and resources to provide a clear information advantage across global bond markets.
Supported by credit and economic professionals in the UK, US, Asia and Australia, we have built a collaborative global research network. By sharing local market and issuer knowledge, we look to exploit changes in the economic outlook or credit quality and in turn generate return for our portfolios.
Integrated ESG analysis
We also embed environmental, social and governance (ESG) factors into our analysis – giving us a more complete view of risks and opportunities presented by issuers.
Funds in focus
Aberdeen Standard SICAV I - Emerging Markets Corporate Bond FundMore info
Aberdeen Standard SICAV I - Frontier Markets Bond FundMore info
Aberdeen Standard SICAV I - Select Emerging Markets Bond FundMore info
Aberdeen Standard SICAV I - Select Euro High Yield Bond FundMore info
Emerging Market Debt Sustainable and Responsible Investment FundMore info
European Corporate Bond FundMore info
European Corporate Bond Sustainable and Responsible Investment FundMore info
Global Corporate Bond FundMore info
Emerging market debt: outlook
Emerging market debt: investment approach