A research-driven, global multi-asset portfolio which avoids the complexity of many other multi-asset strategies by investing in liquid, high-quality equities and fixed income securities with low correlations.
A flexible multi-asset approach to emerging markets offers investors the potential to achieve stronger returns with lower volatility than investing in emerging market equities alone over the long term.
The fund seeks to provide a high level of long-term total return, of which current income is a significant component, by investing primarily in local currency denominated government and corporate bonds.
Drawing on integrated research and multi-level risk management, designed to generate attractive yields from US dollar-denominated corporate investment-grade bonds whilst maintaining stability and capital preservation.
Uncovering long-term investment opportunities in Japan requires a deep understanding of the market complexities. Capital Group opened its Tokyo office in 1982 and has over 60 years’ experience investing in the region.
Offers a flexible approach to capturing the growth potential of developing economies by investing in emerging market (EM) companies alongside developed market multinationals with significant EM exposure.