Assets under management are preliminary for 31 December 2025
1. Mainly comprises money markets and US municipals.
For 50 years, we've helped bond investors navigate market challenges. Our team performs rigorous analysis across a broad set of fixed income sectors to identify a variety of opportunities.
We offer a range of strategies across core bond, high quality credit, emerging markets and higher yielding solutions. All are driven by bottom-up research.
Emerging markets debt
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Aim to balance yield and risk, with a clearer risk profile.
Aim to balance yield and risk, with a clearer risk profile.
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Statements attributed to an individual represent the opinions of that individual as of the date published and do not necessarily reflect the opinions of Capital Group or its affiliates. The information provided is not intended to be comprehensive or to provide advice.
All data as at 31 December 2025 and attributed to Capital Group, unless otherwise stated. All values in USD.
Capital’s fixed income assets are managed by Capital Fixed Income Investors. Asset size comparison provided by Morningstar.
Risk factors you should consider before investing:
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 organisation; however, for securities with equity characteristics, they act solely on behalf of one of the three equity investment groups.