Fund Details

GLOBAL DEBT

International Bond Fund 1
Summary Detailed
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Holdings Breakdown as of 1/31/15
Region 4
Strategy Allocation 4
NRSRO Credit Rating 5
Currency 4 6

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Management

Fund Focus

The Strategy typically invests in international fixed income securities in both developed and emerging market countries.

Investment Approach

The portfolio managers dynamically manage the allocation between developed and emerging markets debt. The managers employ an investment process that combines top-down macro analysis with bottom-up country and credit analysis while separating views with respect to currency, interest rates and credit exposures.

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