In today's complex environment, institutional investors require a sophisticated approach to managing their fixed income portfolio. Whether you are seeking portfolio diversification, enhanced income or a more effecient portfolio, Invesco fixed Income can help identify the right strategies to help meet your investment goals.
The strength of our platform can help you navigate increasingly complex markets
At Invesco Fixed Income, we leverage our robust single sector capabilities, global credit and macro research platforms, and interconnectivity to provide multi-sector solutions to clients worldwide. Through global standards across credit and risk, Invesco's multi-sector team develops an integrated strategy based on market direction, risk positioning and asset allocation.
and single sector
of rates, currency and credit
and private markets
*Assets under management include all assets under advisement, distributed and and overseen by Invesco as of March 31, 2019.
How can multi-sector investing help you address your investment challenges?
Multi-sector investing combines two or more fixed income asset classes in pursuit of an investment objective. Different sectors are placed side by side, and capital is allocated based on how well each should perform within the current investment climate.
We believe that informed, active and agile rotation across themes, sectors and securities allows us to effectively manage intra-cycle drawdowns and deliver strong risk-adjusted performance over time.
Preserving capital over multiple market cycles
Dynamic asset allocation
Skilled sector rotation can add to performance; requires expertise to know when to own, and not to own, certain asset classes or sectors
Balancing asset class correlations in a single
Embedded diversification across a range of fixed income asset classes
Minimizing cost and maximizing resources
Ability to own multiple sectors in one structure, creating cost and resource efficiency by leveraging external expertise