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Fidelity fixed income veteran Ian Spreadbury to retire

Fidelity fixed income veteran Ian Spreadbury to retire

Tim Foster and Claudio Ferrarese will assume joint responsibility for the Fidelity Funds Flexible Bond fund that is available to investors in Hong Kong and Singapore

Funds & Fund Managers

All calculations in fund's local currency
over :
 Average Total Return : -2.5% (30 September 2017 - 30 September 2018)
Currency Total Return Standard Deviation Max Drawdown
1 of 170

H2O Multibonds IUSD(C)

USD

25.7%

24.2

-12.5%

2 of 170

H2O Multi Aggregate Fund R-C USD

USD

5.6%

6.5

-3.0%

3 of 170

Schroder IF Flexible Cat Bond F USD Acc

USD

4.4%

1.9

-0.7%

3 of 170

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

USD

4.4%

5.3

-2.1%

5 of 170

Safra Bonds Vip FIM Credito Privado IE

USD

3.5%

5.0

-2.0%

6 of 170

Loomis Sayles Strategic Income Fund I/AG USD

USD

2.5%

3.0

-2.6%

7 of 170

Vontobel Fd TwentyFour Strat Income Fd HI USD

USD

2.0%

2.2

-1.5%

8 of 170

PIMCO GIS Diversified Income Dur Hdg E USD Inc

Currency exposure is hedged

Currency exposure is hedged

USD

1.9%

3.1

-2.0%

9 of 170

Morgan Stanley Global Fixed Income Opps A USD

USD

1.9%

1.7

-1.3%

10 of 170

Edmond de Rothschild Fund Bd Allocation A USDH Acc

Currency exposure is hedged

Currency exposure is hedged

USD

1.8%

2.7

-1.6%

11 of 170

Itau Private Financial Bonds Multimercado CP IE FI

USD

1.8%

5.3

-2.6%

12 of 170

Franklin Flexible Alpha Bond A (acc) USD

USD

1.6%

0.8

-0.3%

13 of 170

BB Renda Fixa LP CP FX Bonds BR IE Priv FICFI

USD

1.6%

4.8

-2.4%

14 of 170

TCW Funds - MetWest Unconstrained Bond Fund IU Cap

USD

1.5%

0.6

-0.3%

15 of 170

Coronation Global Strategic Income A USD

Currency exposure is hedged

Currency exposure is hedged

USD

1.4%

1.4

-0.8%

16 of 170

AXA WF Global Strategic Bonds A C USD

USD

1.4%

0.9

-0.4%

17 of 170

UBAM Absolute Return Low Vol Fixed Income APHC USD

Currency exposure is hedged

Currency exposure is hedged

USD

1.3%

0.7

-0.3%

18 of 170

Wellington Global Strategic Credit USD S Acc

Currency exposure is hedged

Currency exposure is hedged

USD

1.2%

1.8

-1.8%

19 of 170

Schroder ISF Global Credit Income A Dis MF

USD

1.1%

2.0

-1.8%

20 of 170

Itau Private Financial Bonds II CP MM IE FICFI

USD

1.0%

5.3

-2.9%

21 of 170

Amundi Fds Bond Global Aggregate - AU (C)

Currency exposure is hedged

Currency exposure is hedged

USD

1.0%

2.3

-1.6%

22 of 170

Neuberger Berman Global Oppc Bond USD I Acc

USD

1.0%

2.4

-1.3%

23 of 170

JPMorgan Global Bond Opportunities;I

USD

0.8%

2.0

-2.1%

24 of 170

GAM Star Tactical Opportunities USD Inst Acc

USD

0.8%

2.5

-2.2%

25 of 170

Tailor Credit Rendement Cible S

Currency exposure is hedged

Currency exposure is hedged

USD

0.7%

1.8

-1.5%

26 of 170

Fidelity Funds - Global Income A-ACC-USD

USD

0.6%

2.7

-3.3%

27 of 170

Aviva Investors- Multi-Strategy Fixed Income I USD

USD

0.5%

3.8

-1.7%

28 of 170

Itau Private Financial Bonds CP MM IE FICFI

USD

0.4%

5.3

-3.2%

29 of 170

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

USD

0.3%

1.0

-0.8%

30 of 170

Itau Personnalite Financial Bond CP MM IE FICFI

USD

0.2%

5.3

-3.4%

31 of 170

Vontobel Fund Bond Global Aggregate H hedged USD

Currency exposure is hedged

Currency exposure is hedged

USD

0.2%

5.2

-3.8%

32 of 170

Edmond de Rothschild Fund- Crossover Credit A USDH

Currency exposure is hedged

Currency exposure is hedged

USD

0.2%

2.0

-2.0%

33 of 170

PIMCO GIS Diversified Income Inst USD Acc

Currency exposure is hedged

Currency exposure is hedged

USD

0.2%

2.4

-2.1%

34 of 170

Fidelity Funds - Gl Strat Bond A-ACC-USD

USD

0.1%

1.2

-1.5%

35 of 170

EV Intl (Cayman) Short Dur Strategic Income A

USD

0.0%

2.1

-2.2%

36 of 170

Janus Henderson Strategic Income Fund;A

USD

-0.1%

1.7

-1.0%

36 of 170

T Rowe Price Global Multi-Sector Bond Fund;Inv

USD

-0.1%

1.5

-1.3%

38 of 170

BGF Fixed Income Gbl Opportunities A2 USD

USD

-0.2%

1.7

-1.9%

39 of 170

AB SICAV I-Diversified Yield Plus Pf S GBP

GBP

-0.3%

1.1

-1.4%

40 of 170

Franklin Strategic Income A (Mdis) USD

USD

-0.3%

1.5

-1.7%

41 of 170

MFS Meridian Funds-Global Opportunistic Bd A1 USD

USD

-0.3%

1.2

-1.3%

41 of 170

Schroder ISF Global Multi Credit A Acc USD

USD

-0.3%

2.3

-2.8%

43 of 170

London & Capital Global Growth Fixed Inc X USD Inc

USD

-0.3%

3.3

-4.0%

44 of 170

PIMCO GIS Income E USD Acc

Currency exposure is hedged

Currency exposure is hedged

USD

-0.4%

1.4

-1.3%

45 of 170

Amundi Fds Bond Total Hybrid - IE (C)

Currency exposure is hedged

Currency exposure is hedged

EUR

-0.5%

4.1

-4.3%

46 of 170

Nordea 1 - Flexible Fixed Income BP EUR

EUR

-0.5%

1.2

-1.3%

47 of 170

BremenKapital Renten Offensiv

USD

-0.5%

6.2

-6.8%

48 of 170

BlackRock Global Diversified Bond E

Currency exposure is hedged

Currency exposure is hedged

AUD

-0.5%

1.3

-1.1%

49 of 170

QAF Diversified Yield Funds A

USD

-0.6%

7.2

-6.6%

50 of 170

Janus Henderson HF Total Return Bond A2 HUSD

Currency exposure is hedged

Currency exposure is hedged

USD

-0.7%

1.7

-1.9%

51 of 170

Amundi SICAV II Strategic Income R No Dis GBP

USD

-0.8%

1.5

-2.1%

52 of 170

Solitaire Global Bond Fund -USD-

USD

-0.9%

4.3

-4.4%

53 of 170

Mirabaud-Global Strategic Bond Fund-A Cap USD

USD

-0.9%

1.5

-2.2%

53 of 170

T Rowe Diversified Income Bond Fund A USD

USD

-0.9%

1.7

-2.1%

55 of 170

Investec Global Diversified Debt I1 Acc Gross USD

USD

-1.0%

2.8

-3.4%

56 of 170

HSBC GIF Global Bond Total Return A C USD

USD

-1.0%

1.3

-1.9%

57 of 170

Invesco Strategic Income Fund A Acc USD

USD

-1.1%

1.7

-2.7%

58 of 170

Western Asset Income Fund;A

USD

-1.3%

2.7

-3.5%

59 of 170

Schroder ISF Strategic Bond A Acc

USD

-1.3%

4.0

-4.1%

60 of 170

PineBridge Global Strategic Income YD USD

USD

-1.4%

1.9

-3.0%

61 of 170

T Rowe Dynamic Global Bond A USD Cap

USD

-1.4%

2.5

-2.8%

62 of 170

L&G Multi-Strategy Credit Z USD Acc

USD

-1.5%

3.9

-4.9%

63 of 170

Anima Hybrid Bond I

USD

-1.5%

8.1

-9.3%

64 of 170

Oppenheimer Global Strategic Income Fund;A

USD

-1.5%

3.2

-3.7%

65 of 170

Yuanta Global Active Allocation Fund of Bd Fds(A)

USD

-1.5%

3.1

-4.9%

66 of 170

ABN AMRO MMF FoM Flexible Bonds A USD

USD

-1.6%

3.0

-3.8%

67 of 170

AEGON Diversified Bond Fund

USD

-1.6%

6.6

-6.8%

68 of 170

Waverton Global Bond A USD

USD

-1.7%

4.0

-4.7%

69 of 170

Amundi Funds II Strategic Income A No Dis USD

USD

-1.7%

1.5

-2.5%

70 of 170

LCL Obligations Monde (C)

Currency exposure is hedged

Currency exposure is hedged

EUR

-1.8%

1.6

-2.5%

70 of 170

Hermes Universal Hermes Flexible Bonds B Cap

USD

-1.8%

7.9

-8.3%

72 of 170

Manulife AM Strategic Fixed Income R USD Acc

USD

-1.8%

2.0

-2.8%

73 of 170

BlackRock Strategic Global Bond Fund;Institutional

USD

-1.8%

3.7

-4.2%

74 of 170

PGIM Global Total Return Bond CAD Exposure I Acc

USD

-1.8%

4.7

-5.5%

75 of 170

Anima Selezione Dinamica 2020

USD

-1.9%

8.3

-9.2%

76 of 170

AlphaCentric Bond Rotation Fund;A

USD

-1.9%

2.7

-2.9%

76 of 170

Fixed Income Flexible Strategy R USD

USD

-1.9%

1.0

-2.1%

78 of 170

DPAM L Bonds Uni Unconstrained B EUR Cap

USD

-1.9%

7.8

-8.1%

79 of 170

Star Collection Obbligazionario Internazionale A

USD

-2.0%

2.7

-4.0%

79 of 170

Yorkville Optimal Return Bond Class Series A

USD

-2.0%

5.9

-4.8%

79 of 170

Skarbiec - Global Bond Opportunities

USD

-2.0%

10.7

-13.2%

82 of 170

EIS Flexible Duration 4 I

USD

-2.0%

6.7

-7.4%

83 of 170

BGF Strategic Global Bond A2 USD

USD

-2.1%

4.0

-4.8%

83 of 170

Acumen Bond Portfolio X USD Hgd Acc

Currency exposure is hedged

Currency exposure is hedged

USD

-2.1%

1.0

-2.1%

85 of 170

PGIM Global Total Return Fund;A

USD

-2.1%

4.4

-5.7%

85 of 170

Flossbach von Storch - Bond Opportunities R

USD

-2.1%

6.6

-7.5%

87 of 170

Kames Strategic Global Bond A Inc EUR Hedged

Currency exposure is hedged

Currency exposure is hedged

EUR

-2.1%

1.6

-2.8%

87 of 170

PIMCO Total Return USD

USD

-2.1%

2.2

-2.5%

89 of 170

GVC Gaesco Renta Fija Flexible, FI

USD

-2.2%

7.8

-8.6%

90 of 170

Fidelity Funds - Flexible Bond Fund A-GBP-DIS

GBP

-2.2%

1.5

-2.8%

91 of 170

Jupiter JGF Dynamic Bond L USD Q Inc HSC

Currency exposure is hedged

Currency exposure is hedged

USD

-2.2%

2.1

-2.9%

92 of 170

ARC Flexibond C

USD

-2.3%

7.0

-7.6%

93 of 170

MS TCW Unconstrained Plus Bond B1 Acc EUR

USD

-2.3%

6.7

-7.3%

94 of 170

Plurima Apuano Flexible Bond A Retail Plus

USD

-2.3%

7.6

-8.6%

95 of 170

ISATIS Investment - Patrimoine B

USD

-2.4%

7.8

-9.7%

96 of 170

Russell Inv Glo Unconstrain Bond Cl Series B

USD

-2.5%

6.9

-5.7%

97 of 170

Indaco SICAV-SIF - Indaco Pentagramma A

USD

-2.6%

7.9

-8.9%

98 of 170

JPM Global Bond Opportunities A Gross Acc

USD

-2.7%

9.0

-9.7%

99 of 170

LCL Obligations Diversification (C)

USD

-2.7%

8.9

-9.8%

100 of 170

Schroder ISF Global Credit Dur Hdg EUR A Acc

USD

-2.7%

7.7

-9.1%

101 of 170

Rio Bravo Portfolio Divers Internacional FIM CP IE

USD

-2.8%

8.6

-8.5%

102 of 170

Eurizon Investment - Flexible Duration 10 I EUR C

USD

-2.8%

7.5

-7.4%

102 of 170

St. James's Place Diversified Bond L Acc

USD

-2.8%

8.7

-9.3%

104 of 170

Lawrence Park Strategic Income Class A USD

USD

-2.9%

6.6

-6.7%

105 of 170

Pioneer Global Multisector Income Fund;A

USD

-2.9%

3.3

-5.0%

105 of 170

PGSF Global Diversified Bond Fund P Dis

USD

-2.9%

6.4

-7.3%

107 of 170

PIMCO Flexible Global Bond Fund (Canada) Series A

USD

-2.9%

6.6

-7.3%

108 of 170

Manulife Global Fd-Strategic Income AA

USD

-3.0%

1.8

-3.3%

109 of 170

CompAm Fund - Active Bond Plus I Cap

USD

-3.0%

7.8

-9.0%

110 of 170

M&G Global Macro Bond A Inc

USD

-3.1%

3.0

-5.3%

111 of 170

PIMCO Unconstrained Bond Series A

USD

-3.2%

7.0

-7.0%

112 of 170

Capital Strategic Income Fund

USD

-3.2%

4.5

-7.6%

112 of 170

Caixabank Global Sicav Glob Euro Short Dur Fd B

USD

-3.2%

6.8

-8.1%

114 of 170

Janus Henderson Glo Flex Income A$acc

USD

-3.3%

4.1

-6.0%

114 of 170

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

USD

-3.3%

8.5

-9.9%

116 of 170

Mackenzie Global Tactical Inv Grade Bond Sr D

USD

-3.3%

6.6

-6.9%

117 of 170

Nordea Inv. Verdens Obl.markeder

USD

-3.3%

7.3

-8.7%

118 of 170

New Capital Global Dynamic A

USD

-3.3%

7.6

-7.4%

119 of 170

JHWI Strategic Income Opportunities A Acc

USD

-3.5%

2.6

-4.2%

120 of 170

Templeton Gl Multisector Plus SIF I (Mdis) USD

USD

-3.5%

7.7

-5.5%

121 of 170

BNP Paribas Euro Flexi Bond Income A

USD

-3.5%

8.0

-8.9%

122 of 170

BlackRock Fixed Income Global Opportunities A Inc

USD

-3.5%

8.8

-10.2%

123 of 170

Turgot Oblig Plus

USD

-3.6%

8.3

-9.9%

124 of 170

Investors Global Fixed Income Flex Portfolio A

USD

-3.6%

5.8

-6.9%

125 of 170

Prudential Financial Flexible Bond Selection Fd A

USD

-3.6%

4.2

-7.2%

126 of 170

Threadneedle (Lux)-Global Strategic Bond W

USD

-3.8%

4.6

-6.5%

127 of 170

CompAM - Flexible Bond Q EUR

USD

-3.8%

7.4

-8.5%

128 of 170

Danske Invest Engros Flexinvest Udenlandske Obl KL

USD

-3.9%

7.8

-9.3%

129 of 170

Mediolanum Flessibile Valore Attivo L

USD

-3.9%

8.5

-9.5%

130 of 170

Mackenzie Global Tactical Bond Series A

USD

-3.9%

6.9

-7.5%

131 of 170

BBVA Bonos Internacional Flexible, FI

USD

-4.1%

7.1

-8.5%

131 of 170

Weberbank Bond Satellite

USD

-4.1%

7.1

-8.9%

133 of 170

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

USD

-4.2%

6.7

-8.0%

134 of 170

Legg Mason WA Global Multi Strat A Dis D USD

USD

-4.3%

3.6

-5.4%

135 of 170

White Fleet II Globes Portfolio Conservative I

USD

-4.3%

7.1

-9.3%

136 of 170

Indaco SICAV-SIF - Indaco Samba

USD

-4.4%

7.6

-9.7%

137 of 170

QSF - Global Macro Bond I Acc

Currency exposure is hedged

Currency exposure is hedged

EUR

-4.5%

3.0

-5.5%

138 of 170

Manulife Strategic Invest Grade Global Bd Adv(US$)

USD

-4.5%

5.9

-7.0%

139 of 170

Barings Strategic Bond A GBP Inc

USD

-4.5%

10.1

-12.2%

140 of 170

Pekao Strategic Bonds

USD

-4.6%

11.1

-14.5%

141 of 170

Carmignac Pfl Unconstrained Glbl Bd A EUR acc

USD

-4.6%

9.2

-10.9%

142 of 170

Investec GSF - Target Return Bond A Inc USD

USD

-4.7%

1.8

-4.7%

143 of 170

Lazard Credit Opportunities A

USD

-4.7%

9.0

-11.2%

144 of 170

Templeton Global Total Return A (Mdis) USD

USD

-4.9%

8.3

-6.3%

145 of 170

StarCapital - Argos A - EUR

Currency exposure is hedged

Currency exposure is hedged

EUR

-5.1%

2.0

-5.6%

145 of 170

T. Rowe Dynamic Global Bond C Acc GBP

USD

-5.1%

9.1

-11.0%

147 of 170

AZ Fund 1 QInternational A AZ FUND Acc

USD

-5.1%

6.4

-9.9%

147 of 170

Sincro Sicav Global Flex Bond R

USD

-5.1%

7.1

-9.8%

149 of 170

Merian Global Strategic Bond A Inc

USD

-5.3%

9.0

-11.2%

150 of 170

StarCapital Bondvalue UI A

USD

-5.3%

7.2

-9.6%

151 of 170

Pharus SICAV - Target A EUR Dis

USD

-5.6%

8.7

-11.1%

152 of 170

Kairos International Sicav - Global Bond P

USD

-5.6%

8.3

-11.2%

153 of 170

Fonditalia Allocation Risk Optimization S

USD

-5.7%

7.1

-10.0%

154 of 170

GAM Multibond - Diversified Income Bd-EUR B

USD

-5.7%

7.7

-10.1%

155 of 170

Anima Reddito Flessibile A

USD

-6.0%

7.3

-10.0%

156 of 170

PIMCO Unconstrained Bond-Wholesale

USD

-6.3%

8.3

-10.1%

157 of 170

JPMorgan Global Strategic Bond

USD

-6.3%

8.5

-10.7%

158 of 170

Gutmann Anleihen Opportunitaetenfonds A

USD

-6.4%

8.3

-11.6%

159 of 170

Amundi Oblig Internationales EUR I

USD

-6.4%

9.3

-12.0%

160 of 170

NBI Unconstrained Fixed Income Investor Series

USD

-6.9%

7.7

-10.7%

161 of 170

HOD High Interest Obligatiedepot

Currency exposure is hedged

Currency exposure is hedged

EUR

-6.9%

4.0

-7.8%

162 of 170

Amundi Fds Bond Global Total Return - AE (C)

USD

-7.1%

9.8

-12.5%

163 of 170

Advance Defensive Yield Multi-Blend

USD

-7.1%

8.5

-11.1%

164 of 170

T. Rowe Price Dynamic Global Bond

USD

-7.8%

8.2

-11.6%

165 of 170

Mediolanum Flessibile Obbligazionario Globale L

USD

-7.9%

9.9

-13.9%

166 of 170

Alessia SICAV Atlantide Debt Opportunities I Cap

USD

-16.3%

15.3

-21.3%

167 of 170

BB Top RF Credito Privado IE LP FI

USD

-16.4%

16.8

-22.8%

168 of 170

Claritas Global High Yield FI Multimercado IE

USD

-16.8%

14.2

-21.5%

169 of 170

PIMCO Income FI Multimercado IE

USD

-17.2%

14.8

-21.9%

170 of 170

PIMCO Income FICFI Multimercado IE

USD

-17.9%

14.7

-22.3%

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

Global Bond Opportunities Master FI MM CP - IE

MPS Private Solution Flexible Bond A

PIMCO Global Financials Credit FI Multimercado IE

PIMCO Global Financials Credit FICFI Multimerc IE

Show more funds
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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