Global High Income
To achieve high-income yield and long-term capital appreciation through investing in global high-yield securities as well as emerging market bonds. This product seeks to outperform a custom benchmark, equally weighted between the Barclays U.S. High Yield 2% Issuer Capped Index and the JP Morgan EMBI Global Diversified Index.
The Invesco Edge:
- Extensive global platform, essential for successful fixed-income portfolio management
- Distinct investment culture and approach focused on diversified alpha generation
- Flexible delivery of investment solutions to meet global and local client needs
Invesco Global High Income is a total return strategy that generates returns by actively allocating between global high yield and emerging market bonds and then through the management of two distinct and diverse portfolios of global high yield and emerging market bond securities in multiple countries, sectors and industries.
This strategy exploits the entire quality spectrum, as well as external and local currency emerging market debt. The product combines a top-down country and industry/sector allocation with rigorous bottom-up sovereign and credit analysis. Our disciplined portfolio construction places a strong emphasis on risk management: we seek to outperform relative to our benchmark, with below-market risk.
Invesco’s Global High Income strategy is available as a separate account and an offshore commingled fund domiciled under Irish regulation.