Our Strategies

Investing with Schroders means gaining access to a global range of strategies covering a broad array of asset classes across multiple regions, which allows investors to diversify their investments, manage their risk and can help maximize their returns.

Schroders' fixed income strategies span the risk return spectrum and can address a wide range of investment objectives, income considerations and tax challenges, covering:

Global & International

Carbon Neutral Credit
Emerging Market Debt Relative Return
Emerging Market Debt Absolute Return
Global Aggregate Bond
Global Credit
Global High Yield
Global Strategic Bond

Domestic Taxable

Securitized Index IG
Opportunistic Securitized
US High Yield
Value Core
Value Sustainable Core 
Value Long Duration
Value Opportunistic Investment-Grade
Value Short Duration

Domestic Taxable/Tax-Exempt Crossover

Value Tax-Aware Opportunistic

Domestic Tax-Exempt

US Intermediate Municipal Bond

The Multi-Asset team consists of over 100 investment professionals located in key financial centers around the world. The team has over 40 years’ experience of partnering with clients to deliver exceptional results. We understand the variety of investment goals such as building and preserving wealth, generating income, protecting against inflation and mitigating portfolio risks. And we are dedicated to creatively developing solutions.

Our research is focused on developing a deep understanding of what drives risk and to ensure we are compensated for these risks. We have committed ourselves to this approach in order to enhance portfolio diversification and allocate assets with more precision.

Alternative Risk Premia

Diversified Growth

Sustainable Dynamic Balanced

Schroders offers a variety of alternative investment solutions to help meet the investors' diversification needs. Our strategies include:


Infrastructure Finance

Insurance-Linked Securities

Private Equity

Real Estate