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Global Fixed Income

Our Philosophy

We believe in employing a consistent investment process that incorporates quantitative and qualitative inputs to generate ideas and construct high conviction portfolios, where we get suitably rewarded for the risk we undertake. At Amova AM, we see ourselves as capital allocators and we intend to continue our efforts to provide the capital needed for issuers to implement a sustainable transition programme. As investors, we have a unique opportunity to identify risks, engage with issuers and build relationships that can influence positive sustainable change. We believe it is our responsibility to create innovative products and strategic partnerships across the capital market structure to establish pathways for meaningful flows into sustainable investments.

ESG Implementation

ESG is considered across all our products. In the investment process, ESG is applied at the screening and research stage and at the portfolio construction stage. The scale and manner that ESG is integrated depends on investor-specific product expectations.

For example, within our Global Green Bond Strategy, every bond considered for inclusion must direct its proceeds toward sustainability oriented objectives and adhere to the principles relevant to its category. The entire investment team is responsible for conducting thorough analysis and research, supported by independent ESG specialists. These specialists perform proprietary, bottom up sustainability assessments of issuers and the use of bond proceeds, ensuring that both the bond and its issuer meet the portfolio’s sustainability standards.

Another example is our Global Credit strategy. While most of our experienced analysts work with a best practice list for corporate governance, built on many years of experience in credit investing, it sometimes is more challenging to ensure that the environmental and social aspects of a business align with every one of our investors’ wishes. However, we take guidance and strive to do our best to make sure they meet the standards set out by the UN PRI. Corporate governance assesses mostly general management quality, which has a direct impact on the company’s performance, while environmental and social analyses tend to capture risks and opportunities linked to a specific industry or region. The investment team works hard to deliver a portfolio that is accountable to the ethical and social values of an increasing number of institutional clients. European asset owners, in particular, require that their values are reflected in their portfolios, alongside their performance goals.

 

The funds mentioned are EMEA registered funds approved for sale or purchase in EMEA. By proceeding, you are representing and warranting that you are either resident in EMEA or the applicable laws and regulations of your jurisdiction allow you to access the information.

The information on this website is not intended to be an offer, or a solicitation of an offer, to buy or sell any product or service to any person in any jurisdiction where such offer, solicitation, purchase or sale would be unlawful under the laws of such jurisdiction.

This website may contain links to the website of certain overseas affiliates of Amova Asset Management UK Limited. However, providing such links should not be considered as offering or solicitation by Amova Asset Management UK Limited of any product or service of its affiliates to any person.

This website is purely for informational purposes only with no consideration given to the specific investment objective, financial situation and particular needs of any specific person. It should not be relied upon as financial advice. The mention of individual securities, sectors, regions or countries within this website are for illustration purposes only and does not imply a recommendation to buy or sell. You should seek advice from a financial adviser before making any investment. In the event that you choose not to do so, you should consider whether the investment selected is suitable for you. Investments in funds are not deposits in, obligations of, or guaranteed or insured by Amova Asset Management UK Limited.

Past performance or any prediction, projection or forecast is not indicative of future performance. The Funds or any underlying funds may use or invest in financial derivative instruments. The value of units and income from them may fall or rise. Investments in the Funds are subject to investment risks, including the possible loss of principal amount invested. You should read the relevant prospectus (including the risk warnings) and product highlights sheet of the Funds, which are available and may be obtained from appointed distributors of Amova Asset Management UK Limited or our website www.emea.amova-am.com before deciding whether to invest in the Funds.

The information contained herein may not be copied, reproduced or redistributed without the express consent of Amova Asset Management UK Limited While reasonable care has been taken to ensure the accuracy of the information as at the date of publication, Amova Asset Management UK Limited does not give any warranty or representation, either express or implied, and expressly disclaims liability for any errors or omissions. Information may be subject to change without notice. Amova Asset Management UK Limited accepts no liability for any loss, indirect or consequential damages, arising from any use of or reliance on this website.