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Global Fixed Income Investments

Nomura Asset Management (NAM) has managed Fixed Income investments since 1989. Today we manage portfolios on behalf of several of the world’s largest institutions, including Pension Schemes, Central Banks and Sovereign Wealth funds.

We have over 120 dedicated Fixed Income investment professionals located in our offices in Tokyo, London, New York, Frankfurt and Singapore.

Unique perspectives from Asia

To achieve stable excess returns in an ever-changing market environment, it is essential to grasp the ‘big picture’ accurately. Given our Asian base, our perspectives on global fixed income investing are distinct from our competitors. Moreover, as Asia increasingly shapes the course of global economic and market developments we believe our in-depth knowledge of these markets will provide a solid background for assessing investment opportunities globally.

Our approach offers: 

  • Active top-down management with decision making complemented by bottom-up security research and selection
  • Risk characteristics are continually monitored to ensure that portfolio exposures are intended, appropriate and understood
  • A solid, team approach that utilises our global resources when considering multi-angle perspectives and strategies in order to diversify risk in the portfolio
  • Co-ordinated committee structures and research platforms which ensure global, firm-wide collaboration
  • Identification of strategic themes that translate into long-term portfolio biases

We offer segregated solutions for Global Government, Corporate and Aggregate Bond investments, as well as an Absolute Return Fixed Income strategy.


 

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