An actively managed and long-only bond fund with a global opportunity set, targeting attractive returns throughout the economic cycle.
The Vontobel Fund - TwentyFour Strategic Income Fund (SIF) is a global and flexible fund that seeks value from across the global bond markets. SIF is designed as a core fixed income allocation to be held throughout the economic cycle. The managers’ approach is dynamic and high conviction, with the portfolio able to adjust quickly to target new opportunities and mitigate risks as market conditions evolve.
Why invest?
- The primary goal is an attractive level of income at all times, with a secondary goal of capital growth where conditions permit.
- A global and flexible fund not tied to any benchmark.
- An investment universe spanning government bonds, investment grade, high yield and emerging markets, as well as more specialist sectors such as subordinated financials and asset-backed securities.
- High conviction approach seeks relative value by geography, sector, bond issuer and type of bond, looking to capture alpha from the bottom-up as well as top-down.
- Long-only and unlevered, but with a hedging toolkit available for managing currency, interest rate and credit risk.