At Capital Group, we believe bond portfolios should provide reliable outcomes. Capital Group’s Global High Income Opportunities (GHIO) strategy is designed to provide consistent levels of income and more stable returns through diversification across investments in high-yield bonds and emerging market debt.
Income focus drives strategy’s total return
Diversified sources of income through investing across higher yielding sectors
Deep fundamental research drives bottom-up convictions, not top-down macro calls
Fund's average income yield1 over the last 10 years
Kirstie Spence
Portfolio manager
Kirstie Spence, who is a London-based portfolio manager of Capital Group Global High Income Opportunities, explains the key characteristics of the fund’s investment process.
“Good credit decisions will always be a function of quality research. The strategy is able to rely on two groups of analysts that are separately dedicated to corporate high-yield bonds and emerging market debt.”
“Sharing insights across asset classes is one of our competitive advantages as a company. Such discussions encourage analysts to discuss investment themes and challenge one another’s assumptions.”
This dynamic investment approach, focusing on fundamental, bottom-up analysis, is the cornerstone of the strategy's long-term success. It has been instrumental in allowing us to add value through security selection rather than asset allocation
Bérenger de la Blache, CFA
Managing Director,
Financial Intermediaries & Institutional
Luxembourg, Belgium & France
Kim Pex
Managing Director,
Financial Intermediaries & Institutional
Luxembourg, Belgium & France
Zoé Lavaud
Business Development Associate
Financial Intermediaries & Institutional
Luxembourg, Belgium & France
Fatiha Benmaamar
Client Relations Manager
Luxembourg, Belgium & France
Grégoire Seron
Marketing Director
Luxembourg, Belgium & France
Marie Henquet
Client Group Assistant
Luxembourg, Belgium & France
Risk factors you should consider before investing:
1. Data is based on a representative account of the Global High Income Opportunities strategy, in US$ terms. 10-year average annual income yield is to 31 December 2022. Dividend yields distributed by share classes will differ dependent on type and how investors choose to pay management fees and expenses. Income yield is total income earned by the fund, net of withholding taxes and before management fees and expenses, divided by average net assets over the past 12 months. Source: Capital Group
Statements attributed to an individual represent the opinions of that individual as of the date published and may not necessarily reflect the view of Capital Group or its affiliates. This communication is intended for the internal and confidential use of the recipient and not for onward transmission to any other third party. This communication is of a general nature, and not intended to provide investment, tax or other advice, or to be a solicitation to buy or sell any securities. All information is as at the date indicated and attributed to Capital Group unless otherwise stated. While Capital Group uses reasonable efforts to obtain information from third-party sources that it believes to be accurate, this cannot be guaranteed.
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