An investment grade bond fund that aims to deliver a strong level of income throughout the economic cycle while minimising volatility.
Our Corporate Bond Fund is managed with a total return mindset. The team seeks to maintain an attractive level of income at all times, but targets capital growth opportunities where appropriate to enhance returns over the longer term.
Why invest?
- Primarily investment grade portfolio (a minimum of 80%) with the potential for up to 20% in high yield or floating rate bonds
- Emphasis on stock selection to generate alpha and manage risks
- TwentyFour’s bespoke research system, Observatory, scans the fund’s investment universe for the most compelling relative value opportunities
- Strong focus on capital preservation and reducing volatility
- Active risk reduction with a broad range of hedging tools
Investment Team