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  • Home
  • About Fullerton
    • About us
    • Leadership
    • Investment capabilities
    • Risk management
    • Sustainability
    • Augmented Intelligence
    • Accolades
    • Newsroom
    • Careers
    • Our offices
  • Investment funds
    • NAV
    • Distributions
    • Fund range
    • Restricted funds
    • Featured funds
  • Investment insights
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    • Fullerton Lux Funds
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  • Home
  • About Fullerton
    • About us
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Excellence in investment management

Fixed Income

“As responsible stewards of our clients’ assets, we take a dynamic approach to managing risks and delivering on investment results in our portfolios.”
– Angus Hui, Deputy CIO, Head of Fixed Income

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Our team-based focus and time-tested processes underpin our expertise as fixed income specialists. We believe a rigorous investment process and extensive credit research capabilities can deliver sustainable long-term returns.

We are guided by our fundamentals-based investment approach with a strong focus on valuation, utilising a combination of top-down macro study and bottom-up credit research analysis.

As a trusted steward of our clients' assets, we have an established track record of managing portfolios for a wide range of investors. Our firm commitment to the Asian, emerging market and global bonds has enabled us to establish successful partnerships with our clients from across the region and beyond.

Pan-Asian strategies:

  • Local currency
  • Hard currency

Single country strategies:

  • SGD bonds
  • SGD credits

Global macro

Absolute return credits

Emerging market bonds

View our fixed income strategies
capabilities_fixed-income

Other capabilities

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