Global Credit

Investment Objective

Schroders' Global Credit strategy seeks to outperform the Bloomberg Barclays Global Aggregate Corporate by 75-100 basis points annualized (before fees) over an investment cycle.


The strategy seeks to generate return by investing across the full maturity and investment grade spectrum of corporate bonds denominated in various currencies. The strategy can also invest in global governments, government agencies, supranational issuers, below investment grade and emerging market corporate debt. Our process focuses on implementing multiple investment themes through sector bias and security selection – supported by extensive proprietary fundamental research and quantitative analysis. Investment decisions are made on a relative-value basis, with the goal of capitalizing on opportunities across a wide range of market conditions.