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Showing fund managers & funds registered for sale globally. You can filter by individual jurisdictions.

Funds & Fund Managers

All calculations in fund's local currency
over :
 Average Total Return : -1.3% (31 July 2017 - 31 July 2018)
Currency Total Return Standard Deviation Max Drawdown
1 of 172

UBAM Unconstrained Bond APHC USD

Currency exposure is hedged

Currency exposure is hedged

USD

1.4%

0.7

-0.3%

2 of 172

TCW Funds - MetWest Unconstrained Bond Fund IU Cap

USD

1.5%

0.7

-0.3%

2 of 172

Franklin Flexible Alpha Bond A (acc) USD

USD

1.1%

0.8

-0.3%

4 of 172

AXA WF Global Strategic Bonds A C USD

USD

1.5%

0.9

-0.4%

5 of 172

Coronation Global Strategic Income A USD

USD

1.4%

1.2

-0.8%

6 of 172

Credit Suisse (Lux) AgaNola Glbl Val Bd Fdd FB USD

USD

0.3%

1.0

-0.8%

7 of 172

Vontobel Fund Bond Global Aggregate H hedged USD

Currency exposure is hedged

Currency exposure is hedged

USD

2.3%

2.0

-0.9%

8 of 172

BlackRock Global Diversified Bond E

Currency exposure is hedged

Currency exposure is hedged

AUD

0.5%

1.5

-0.9%

9 of 172

Nomura Funds Ireland-Global Dynamic Bond I USD

USD

4.0%

2.3

-0.9%

10 of 172

Janus Henderson Strategic Income Fund;A

USD

0.5%

1.3

-1.0%

11 of 172

Edmond de Rothschild Fund Bd Allocation A USDH Acc

Currency exposure is hedged

Currency exposure is hedged

USD

2.7%

2.1

-1.2%

12 of 172

Morgan Stanley Global Fixed Income Opps A USD

USD

2.6%

1.7

-1.3%

12 of 172

Fixed Income Flexible Strategy R USD

USD

-0.9%

0.9

-1.3%

12 of 172

Nordea 1 - Flexible Fixed Income BP EUR

EUR

-0.1%

1.2

-1.3%

15 of 172

MFS Meridian Funds-Global Opportunistic Bd A1 USD

USD

0.2%

1.4

-1.3%

16 of 172

Safra Bonds Vip FIM Credito Privado IE

USD

4.1%

3.2

-1.3%

17 of 172

PIMCO GIS Income E USD Acc

Currency exposure is hedged

Currency exposure is hedged

USD

0.8%

1.5

-1.3%

17 of 172

Neuberger Berman Global Oppc Bond USD I Acc

USD

1.9%

2.1

-1.3%

19 of 172

T Rowe Price Global Multi-Sector Bond Fund;Inv

USD

1.2%

1.8

-1.3%

20 of 172

BB Renda Fixa LP CP FX Bonds BR IE Priv FICFI

USD

2.3%

3.1

-1.4%

21 of 172

AB SICAV I-Diversified Yield Plus Pf S GBP

GBP

-0.3%

1.1

-1.4%

22 of 172

Tailor Credit Rendement Cible S

Currency exposure is hedged

Currency exposure is hedged

USD

1.5%

1.9

-1.5%

23 of 172

Fidelity Funds - Gl Strat Bond A-ACC-USD

USD

0.2%

1.3

-1.5%

23 of 172

Itau Private Financial Bonds Multimercado CP IE FI

USD

1.8%

3.0

-1.5%

23 of 172

Aviva Investors- Multi-Strategy Fixed Income I USD

USD

2.6%

3.3

-1.5%

26 of 172

Amundi Fds Bond Global Aggregate - AU (C)

Currency exposure is hedged

Currency exposure is hedged

USD

2.3%

1.9

-1.5%

27 of 172

Vontobel Fd TwentyFour Strat Income Fd HI USD

USD

2.6%

2.2

-1.5%

28 of 172

Itau Private Financial Bonds II CP MM IE FICFI

USD

1.0%

3.0

-1.6%

28 of 172

LCL Obligations Monde (C)

Currency exposure is hedged

Currency exposure is hedged

EUR

-0.5%

1.5

-1.6%

30 of 172

Jupiter JGF Dynamic Bond L USD Q Inc HSC

Currency exposure is hedged

Currency exposure is hedged

USD

-0.5%

1.4

-1.6%

31 of 172

Itau Personnalite Financial Bond CP MM IE FICFI

USD

0.2%

3.0

-1.7%

32 of 172

Itau Private Financial Bonds CP MM IE FICFI

USD

0.5%

3.0

-1.7%

33 of 172

Franklin Strategic Income A (Mdis) USD

USD

-0.5%

1.4

-1.7%

34 of 172

Schroder ISF Global Credit Income A Dis

USD

1.9%

2.1

-1.8%

35 of 172

Janus Henderson HF Total Return Bond A2 HUSD

Currency exposure is hedged

Currency exposure is hedged

USD

0.0%

1.7

-1.8%

36 of 172

Wellington Global Strategic Credit USD S Acc

Currency exposure is hedged

Currency exposure is hedged

USD

1.4%

1.7

-1.8%

37 of 172

BGF Fixed Income Gbl Opportunities A2 USD

USD

0.8%

1.8

-1.9%

38 of 172

HSBC GIF Global Bond Total Return A C USD

USD

-0.7%

1.4

-1.9%

39 of 172

PIMCO GIS Diversified Income Dur Hdg E USD Inc

Currency exposure is hedged

Currency exposure is hedged

USD

2.4%

2.7

-2.0%

40 of 172

Edmond de Rothschild Fund- Crossover Credit A USDH

Currency exposure is hedged

Currency exposure is hedged

USD

0.4%

2.0

-2.0%

41 of 172

UBS (Lux) Bond S - Global Dynamic (USD) P-acc

USD

6.5%

5.2

-2.1%

42 of 172

T Rowe Diversified Income Bond Fund A USD

USD

0.6%

1.9

-2.1%

42 of 172

PIMCO GIS Diversified Income Inst USD Acc

Currency exposure is hedged

Currency exposure is hedged

USD

1.0%

2.4

-2.1%

44 of 172

JPMorgan Global Bond Opportunities;I

USD

1.4%

2.0

-2.1%

44 of 172

Amundi SICAV II Strategic Income R No Dis GBP

USD

-0.3%

1.7

-2.1%

46 of 172

GAM Star Tactical Opportunities USD Inst Acc

USD

1.4%

2.5

-2.2%

47 of 172

EV Intl (Cayman) Short Dur Strategic Income A

USD

0.8%

2.1

-2.2%

48 of 172

Mirabaud-Global Strategic Bond Fund-A Cap USD

USD

-0.6%

1.6

-2.2%

48 of 172

T Rowe Dynamic Global Bond A USD Cap

USD

-0.2%

2.0

-2.2%

50 of 172

Acumen Bond Portfolio X USD Hgd Acc

Currency exposure is hedged

Currency exposure is hedged

USD

-1.5%

1.2

-2.3%

51 of 172

Amundi Funds II Strategic Income A No Dis USD

USD

-1.1%

1.6

-2.5%

52 of 172

PIMCO Total Return USD

USD

-0.8%

2.4

-2.5%

53 of 172

Loomis Sayles Strategic Income Fund I/AG USD

USD

1.5%

3.1

-2.6%

54 of 172

Invesco Strategic Income Fund A Acc USD

USD

-0.6%

1.7

-2.7%

55 of 172

Fidelity Funds - Flexible Bond Fund A-GBP

GBP

-2.1%

1.6

-2.7%

56 of 172

Kames Strategic Global Bond A Inc EUR Hedged

Currency exposure is hedged

Currency exposure is hedged

EUR

-1.5%

1.7

-2.8%

57 of 172

Schroder ISF Global Multi Credit A Acc USD

USD

0.9%

2.5

-2.8%

58 of 172

Manulife AM Strategic Fixed Income R USD Acc

USD

-1.3%

1.9

-2.8%

59 of 172

PineBridge Strategic Bond YD USD

USD

-0.9%

2.0

-3.0%

60 of 172

H2O Multi Aggregate Fund R-C USD

USD

7.6%

5.2

-3.0%

61 of 172

Schroder ISF Strategic Bond A Acc

USD

-0.2%

3.3

-3.1%

62 of 172

QSF - Global Unconstrained Bond I

Currency exposure is hedged

Currency exposure is hedged

EUR

-2.0%

2.1

-3.1%

63 of 172

Fidelity Funds - Global Income A-ACC-USD

USD

0.9%

2.7

-3.3%

64 of 172

Manulife Global Fd-Strategic Income AA

USD

-2.3%

1.8

-3.3%

65 of 172

Investec Global Diversified Debt I1 Acc Gross USD

USD

0.1%

2.7

-3.4%

66 of 172

Oppenheimer Global Strategic Income Fund;A

USD

-0.5%

2.6

-3.4%

67 of 172

Star Collection Obbligazionario Internazionale A

USD

-1.1%

2.8

-3.4%

68 of 172

Western Asset Income Fund;A

USD

0.5%

2.7

-3.5%

69 of 172

ABN AMRO MMF FoM Flexible Bonds A USD

USD

-0.5%

3.4

-3.8%

70 of 172

BlackRock Strategic Global Bond Fund;Institutional

USD

-0.6%

3.7

-3.9%

71 of 172

London & Capital Global Growth Fixed Inc X USD Inc

USD

0.6%

3.4

-4.0%

71 of 172

PGIM Global Total Return Fund;A

USD

0.2%

4.5

-4.0%

73 of 172

StarCapital - Argos A - EUR

Currency exposure is hedged

Currency exposure is hedged

EUR

-4.1%

1.3

-4.1%

74 of 172

PGIM Global Total Return CAD I Acc

USD

0.6%

4.9

-4.1%

75 of 172

M&G Global Macro Bond A Inc

USD

-2.2%

3.0

-4.1%

76 of 172

BGF Strategic Global Bond A2 USD

USD

-0.8%

4.1

-4.2%

77 of 172

JHWI Strategic Income Opportunities A Acc

USD

-2.5%

2.6

-4.2%

78 of 172

Amundi Fds Bond Total Hybrid - IE (C)

Currency exposure is hedged

Currency exposure is hedged

EUR

0.5%

4.2

-4.3%

79 of 172

Solitaire Global Bond Fund -USD-

USD

1.3%

3.6

-4.3%

80 of 172

Waverton Global Bond A USD

USD

0.4%

4.0

-4.5%

81 of 172

Templeton Gl Multisector Plus SIF I (Mdis) USD

USD

1.8%

6.3

-4.6%

82 of 172

Yuanta Global Active Allocation Fund of Bd Fds(A)

USD

-1.8%

3.0

-4.7%

83 of 172

Legg Mason WA Global Multi Strat A Dis D USD

USD

-2.1%

3.2

-4.7%

84 of 172

Janus Henderson Glo Flex Income A$acc

USD

-2.2%

4.2

-4.7%

85 of 172

Yorkville Optimal Return Bond Class Series A

USD

-2.3%

6.0

-4.8%

86 of 172

Pioneer Global Multisector Income Fund;A

USD

-1.7%

3.5

-4.8%

87 of 172

Investec GSF - Target Return Bond A Inc USD

USD

-4.3%

1.9

-4.9%

88 of 172

L&G Multi-Strategy Credit Z USD Acc

USD

-1.1%

3.8

-4.9%

89 of 172

Templeton Global Total Return A (Mdis) USD

USD

0.7%

6.6

-5.0%

90 of 172

HOD High Interest Obligatiedepot

Currency exposure is hedged

Currency exposure is hedged

EUR

-5.1%

2.5

-5.3%

91 of 172

Schroder IF Flexible Cat Bond F USD Acc

USD

-0.1%

6.1

-5.4%

92 of 172

Threadneedle (Lux)-Global Strategic Bond W

USD

-2.8%

4.9

-5.6%

93 of 172

Mediolanum Flessibile Obbligazionario Globale L

Currency exposure is hedged

Currency exposure is hedged

EUR

-3.7%

3.6

-5.7%

94 of 172

Russell Inv Glo Unconstrain Bond Cl Series B

USD

-3.1%

6.9

-5.7%

95 of 172

PGSF Global Diversified Bond Fund P Dis

USD

-3.1%

6.2

-5.8%

96 of 172

AEGON Diversified Bond Fund

USD

0.2%

6.7

-6.3%

97 of 172

BremenKapital Renten Offensiv

USD

1.3%

6.1

-6.6%

98 of 172

Rio Bravo Portfolio Divers Internacional FIM CP IE

USD

-2.9%

5.6

-6.6%

99 of 172

Quamvis SCA SICAV-FIS Diversified Yield Fund A

USD

0.1%

7.2

-6.6%

100 of 172

Lawrence Park Strategic Income Class A USD

USD

-3.5%

6.5

-6.7%

101 of 172

EIS Flexible Duration 4 I

USD

-1.1%

6.7

-6.8%

102 of 172

Eurizon Investment - Flexible Duration 10 I EUR C

USD

-1.1%

7.6

-6.8%

103 of 172

Mackenzie Global Tactical Inv Grade Bond Sr D

USD

-3.7%

6.6

-6.9%

104 of 172

Investors Global Fixed Income Flex Portfolio A

USD

-3.5%

5.7

-6.9%

105 of 172

Manulife Strategic Invest Grade Global Bd Adv(US$)

USD

-4.2%

5.9

-7.0%

106 of 172

PIMCO Unconstrained Bond Series A

USD

-3.0%

7.0

-7.0%

107 of 172

Prudential Financial Flexible Bond Selection Fd A

USD

-3.3%

4.1

-7.0%

108 of 172

MS TCW Unconstrained Plus Bond B1 Acc EUR

USD

-1.0%

6.9

-7.1%

109 of 172

Capital Strategic Income Fund

USD

-2.8%

4.5

-7.1%

110 of 172

PIMCO Flexible Global Bond Fund (Canada) Series A

USD

-2.7%

6.6

-7.3%

111 of 172

Caixabank Global Sicav Glob Euro Short Dur Fd B

USD

-1.3%

6.8

-7.3%

112 of 172

BBVA Bonos Internacional Flexible, FI

USD

-2.7%

7.0

-7.3%

113 of 172

New Capital Global Dynamic A

USD

-4.6%

7.2

-7.4%

114 of 172

UBS (Lux) Bond S - Cur Diversifier (USD) P-acc

USD

-4.7%

6.5

-7.5%

114 of 172

DPAM L Bonds Uni Unconstrained B EUR Cap

USD

-0.6%

7.6

-7.5%

116 of 172

Flossbach von Storch - Bond Opportunities R

USD

-0.7%

6.7

-7.5%

116 of 172

Mackenzie Global Tactical Bond Series A

USD

-4.2%

6.8

-7.5%

118 of 172

ARC Flexibond C

USD

-1.4%

7.1

-7.6%

119 of 172

CompAm Fund - Active Bond Plus I Cap

USD

-1.2%

7.5

-7.6%

120 of 172

Redwood Unconstrained Bond Class A

USD

-6.4%

6.8

-7.7%

121 of 172

Amundi Oblig Internationales EUR I

USD

-1.5%

6.9

-7.7%

122 of 172

Redwood Unconstrained Bond Series A

USD

-7.1%

6.9

-7.8%

123 of 172

CompAM - Flexible Bond Q EUR

USD

-1.9%

7.4

-8.0%

124 of 172

Redwood Global Total Return Bond Portfolio Srs PHP

USD

-5.1%

7.4

-8.1%

125 of 172

Hermes Universal Hermes Flexible Bonds B Cap

USD

0.1%

7.9

-8.2%

126 of 172

White Fleet II Globes Portfolio Conservative I

USD

-2.3%

7.1

-8.2%

127 of 172

Weberbank Bond Satellite

USD

-2.6%

7.0

-8.2%

128 of 172

BNP Paribas Euro Flexi Bond Income A

USD

-2.2%

7.9

-8.3%

128 of 172

Amundi Fds Bond Global Total Return - AE (C)

USD

-1.8%

7.2

-8.3%

130 of 172

GVC Gaesco Renta Fija Flexible, FI

USD

-0.8%

7.7

-8.3%

131 of 172

Plurima Apuano Flexible Bond A Retail Plus

USD

-1.1%

7.6

-8.3%

132 of 172

Anima Reddito Flessibile A

USD

-3.4%

7.3

-8.4%

133 of 172

StarCapital Bondvalue UI A

USD

-3.6%

7.3

-8.5%

134 of 172

PIMCO Unconstrained Bond-Wholesale

USD

-4.4%

7.9

-8.6%

135 of 172

St. James's Place Diversified Bond L Acc

USD

-0.7%

10.1

-8.6%

136 of 172

Sincro Sicav Global Flex Bond R

USD

-4.2%

6.9

-8.7%

137 of 172

Fonditalia Allocation Risk Optimization S

USD

-3.9%

7.2

-8.7%

138 of 172

Nordea Inv. Verdens Obl.markeder

USD

-1.0%

7.5

-8.7%

139 of 172

Danske Invest Engros Flexinvest Udenlandske Obl KL

USD

-0.6%

7.8

-8.8%

140 of 172

Schroder ISF Global Credit Dur Hdg EUR A Acc

USD

-1.9%

7.6

-8.9%

141 of 172

T. Rowe Dynamic Global Bond C Acc GBP

USD

-1.8%

10.1

-9.0%

141 of 172

Barings Strategic Bond A GBP Inc

USD

-1.3%

10.2

-9.0%

143 of 172

JPM Global Bond Opportunities A Gross Acc

USD

-0.2%

10.4

-9.0%

144 of 172

Old Mutual Global Strategic Bond A Inc

USD

-0.7%

10.0

-9.1%

145 of 172

Anima Selezione Dinamica 2020

USD

-0.2%

8.2

-9.2%

146 of 172

T. Rowe Price Dynamic Global Bond

USD

-5.8%

7.4

-9.2%

147 of 172

Anima Hybrid Bond I

USD

1.1%

8.1

-9.3%

148 of 172

AZ Fund 1 QInternational A AZ FUND Acc

USD

-3.3%

6.8

-9.3%

149 of 172

Advance Defensive Yield Multi-Blend

USD

-5.7%

8.1

-9.4%

150 of 172

BlackRock Fixed Income Global Opportunities A Inc

USD

-1.0%

10.2

-9.4%

151 of 172

Mediolanum Flessibile Valore Attivo L

USD

-2.3%

8.4

-9.5%

152 of 172

ISATIS Investment - Patrimoine B

USD

-2.0%

7.8

-9.7%

153 of 172

LCL Obligations Diversification (C)

USD

-1.1%

8.8

-9.7%

154 of 172

GAM Multibond - Diversified Income Bd-EUR B

USD

-3.7%

7.8

-9.7%

155 of 172

JPMorgan Global Strategic Bond

USD

-5.7%

8.2

-9.8%

156 of 172

Turgot Oblig Plus

USD

-1.7%

8.4

-9.8%

157 of 172

NN (L) First Cl. Yield Opportunities P Cap EUR

USD

-1.8%

8.4

-9.9%

158 of 172

Carmignac Pfl Unconstrained Glbl Bd A EUR acc

USD

-3.4%

9.2

-10.0%

159 of 172

Kairos International Sicav - Global Bond P

USD

-4.1%

8.2

-10.5%

160 of 172

NBI Unconstrained Fixed Income Investor Series

USD

-7.4%

7.7

-10.7%

161 of 172

Lazard Credit Opportunities A

USD

-2.7%

9.0

-11.0%

162 of 172

Pharus SICAV - Target A EUR Dis

USD

-3.1%

8.7

-11.1%

163 of 172

Gutmann Anleihen Opportunitaetenfonds A

USD

-4.1%

8.4

-11.3%

164 of 172

H2O Multibonds IUSD(C)

USD

30.6%

19.6

-12.5%

165 of 172

Skarbiec - Global Bond Opportunities

USD

-1.9%

10.9

-13.2%

166 of 172

Pekao Strategic Bonds

USD

-3.4%

11.1

-14.5%

167 of 172

PIMCO Income FI Multimercado IE

USD

-11.5%

11.5

-17.1%

168 of 172

PIMCO Income FICFI Multimercado IE

USD

-12.3%

11.4

-17.4%

169 of 172

BB Top RF Credito Privado IE LP FI

USD

-9.7%

12.6

-17.9%

170 of 172

Claritas Global High Yield FI Multimercado IE

USD

-12.3%

11.6

-17.9%

171 of 172

Templeton Global Total Return FIM IE

USD

-12.1%

15.9

-19.9%

172 of 172

Alessia SICAV Atlantide Debt Opportunities I Cap

USD

-14.5%

15.5

-20.7%

Funds with less than 12 months history are below. View 1 month performance

PIMCO Global Financials Credit FI Multimercado IE

PIMCO Global Financials Credit FICFI Multimerc IE


Performance is for the period shown (month end to month end, bid/bid, gross income reinvested, calculated in USD). Portions of the information contained on this page was derived by Citywire Financial Publishers Ltd using content supplied by Lipper, A Reuters Company.

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