Flexibility is at the heart of our approach to fixed income investing
At Jupiter, we have wide-ranging bond expertise, enabling us to provide clients with solutions that seek to exploit inefficiencies across the fixed income universe. We have been steadily expanding our Fixed Income team, capitalising on new opportunities as the bond markets have developed. We offer funds in both developed and emerging markets to suit a range of investment goals and risk appetites.
In the spotlight

Jupiter Dynamic Bond
A “go-anywhere” global bond fund
A flexible an unconstrained approach designed to maximise returns in different macro environments.

Jupiter Emerging Market Debt Strategies
An asset class for all seasons
Access one of the fastest-growing fixed income sectorsof the past decade.

Jupiter Financials Contingent Capital Fund
Harvesting high yields with CoCo’s
The fund intends to provide access to the growing opportunities of contingent convertible bonds (CoCos) with the aim of generating a total return.
Latest Insights
Ariel Bezalel and Harry Richards: Latest webcast
Ariel Bezalel and Harry Richards: Latest webcast
Listen to the latest webcast from Ariel Bezalel and Harry Richards, who discuss the global macro environment, why being mindful of the unexpected is a prudent way to manage investment risk, and how their portfolios are positioned for 2021.
Asset Class

Alternatives
Our alternative fund managers invest in an effort to generate returns regardless of a market backdrop.

Equities
Jupiter’s equity funds invest around the world through active and unconstrained management.

Multi-asset
Our multi-asset managers blend diversification with a carefully honed investment processes

Multi-manager
Jupiter Merlin Portfolios run by our highly experienced Jupiter Independent Funds Team