Strategies

Global Flexible Bond Strategy

Investment strategy overview

Invesco Fixed Income’s Global Flexible Bond Strategy is an actively managed global bond strategy that aims to maximise total return over a market cycle. 

The Global Flexible Bond Strategy has a flexible investment approach that can go anywhere. It is not tied to a benchmark and is not biased towards any specific fixed income sector or region. It invests across the full spectrum of the fixed income universe, with active exposures to interest rate, credit and currency markets (both long and short positions) and flexible duration management (2-9 years range). The strategy invests primarily in a portfolio of debt securities, denominated in any currency.

Key facts

Strategy inception

Oct 2018

Name of investment team

Invesco Fixed Income Group

Location of investment team

London