years of fixed income experience
fixed income professionals around the world
average years of industry experience for fixed income professionals
research analysts
Source: Capital Group. Data as of December 31, 2023.
⬤ | U.S. core/core plus |
⬤ | Mortgage |
⬤ | Global |
⬤ | Short-term |
⬤ | Inflation-linked |
⬤ | Emerging markets |
⬤ | U.S. government |
⬤ | Tax-exempt |
⬤ | Credit |
Source: Capital Group. Data as of December 31, 2023. U.S. core/core plus also includes intermediate core. Credit also includes high-yield, credit plus and long duration credit. Global also includes global plus and global flexible.
Assets under management by Capital Fixed Income Investors by strategy mandate. All values in USD. Totals may not reconcile due to rounding.
Research is the cornerstone
Equity and fixed income analysts work together to develop differentiated insights
A culture of collaboration
Portfolio managers and analysts collaborate as peers, creating portfolios that reflect multiple perspectives
A focus on consistent outcomes
We strive for strong risk-adjusted results, without style drift
Analysts manage money
Analysts are empowered to invest in their best ideas, alerting portfolio managers to their strongest convictions*
Multilayered risk management
Helps ensure portfolio exposures are intentional and properly scaled
Solutions
Our broad suite of capabilities seek strong long-term risk-adjusted returns through deep fundamental analysis and a distinct investment approach
U.S. Core – A high-quality core approach seeking superior returns throughout market cycles
Core Plus – A total return approach seeking attractive returns while providing a differentiated return pattern during periods of equity market volatility
Investment-Grade Credit – A high-quality credit approach (rated BBB/Baa and above) seeking strong returns via fundamental research and active sector positioning
U.S. High Yield – A balanced high-yield approach seeking superior returns via security selection and with a volatility profile in line with or below that of its benchmark and peers
Emerging Markets Debt – A fundamental approach to developing markets that seeks strong returns via deep research and insights across the broad opportunity set
Long Duration Credit – A high-quality credit approach seeking to deliver an attractive and complementary pattern of returns for liability-driven investors
Interested in learning more about our fixed income solutions? Call us between 8:00 a.m. and 7:00 p.m. ET, Monday through Friday.
*Analysts manage assets in most Capital Group portfolios.
Investments are not FDIC-insured, nor are they deposits of or guaranteed by a bank or any other entity, so they may lose value.
Bond ratings, which typically range from AAA/Aaa (highest) to D (lowest), are assigned by credit rating agencies such as Standard & Poor's, Moody's and/or Fitch, as an indication of an issuer's creditworthiness.
Capital Group manages equity assets through three investment groups. These groups make investment and proxy voting decisions independently. Fixed income investment professionals provide fixed income research and investment management across the Capital organization; however, for securities with equity characteristics, they act solely on behalf of one of the three equity investment groups.
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