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Our investment capabilities span equities, fixed income, real assets and alternatives
Focused on hard currency sovereign and corporate debt and local currency markets
Manages highly diversified global corporate bond portfolios that capture the credit premium offered in the market.
Fixed income idea generation that operates free from traditional parameters such as region, sector, rating, and benchmark constituents
Advising and designing bespoke investment solutions
A proven track record in managing cash funds
Two of the largest investment teams covering Australian equities
First State Stewart Asia manages Asia Pacific and Japanese equity strategies.
Combining infrastructure experience with investment management expertise
Global property securities specialists located in major property markets
Investing in equity portfolios covering hard commodities
Focused on partnering with clients to provide tailored Smart Beta solutions
Stewart Investors manage Asia Pacific (ex Japan), Global Emerging Markets, Worldwide and Sustainable Development equity strategies
Focused on core infrastructure and a highly active asset management approach
We aspire to be a global leader in responsible investment and continually strive for improved practices in Environmental, Social and Governance (ESG) integration
Each year we report on our progress, providing evidence of how we are delivering our RI objectives and the investment outcomes that flow from it
Read about our company, corporate vision and values, management team and related businesses
Latest press releases and company announcements
Information about the Foreign Account Tax Compliance (FATCA).
Corporate credit remains attractive to investors seeking a higher yield than cash and government bonds while retaining more defensive characteristics compared to equities. Higher quality global credit securities currently enjoy strong demand given the historically low yielding environment combined with continued central bank accommodation.
There are many opportunities for both structural and more tactical allocations to global credit ranging from passive / smart-beta style portfolios to active global credit and multi-sector strategies. Blended portfolios combine both investment grade and high yield credit investments, allowing an active manager to build an optimal portfolio, free from the constraints of credit ratings agencies.
Our Global Credit team builds and manages highly diversified global corporate bond portfolios that capture the credit premium offered in the market while avoiding permanent capital impairment. To generate strong risk-adjusted returns for investors, the team seeks to mitigate concentration and correlation risks by blending multi-dimensional, bottom-up credit research with sophisticated portfolio construction.
Learn more about the benefits of a long term strategic investment in global credit.
Learn more about how we manage global credit as a defensive asset class, which aims to deliver superior risk-adjusted returns.
Learn more about the breadth of experience within our investment team.
Richard RauchSenior Investment Specialist