Jupiter’s global fixed income products offer investors access to a diversified range of bonds across regions, sectors and credit qualities, managed by experienced teams with strong active conviction. These strategies aim to deliver consistent risk-adjusted returns, combining rigorous credit research with macro insight to identify opportunities worldwide. For investors, they can serve as a core holding to provide income, resilience and diversification within a broader portfolio. Jupiter’s global reach, independent thinking and disciplined risk management make these strategies well-suited for those seeking long-term fixed income allocations.
Fixed income strategies
Important information
his document is informational only and is not investment advice. The value of investments and income may go down as well as up and investors may not get back amounts originally invested. Exchange rate changes may cause the value of investments to fall as well as rise. The views expressed are those of the author(s) at the time of preparation, are not necessarily those of Jupiter as a whole and may be subject to change. Every effort is made to ensure the accuracy of the information provided, but no assurance or warranties are given.