Fixed income funds
We build fixed income multi-manager solutions that aim to help you achieve your investment goals.
We meticulously select managers with the strongest investment processes, whilst actively managing them to create dynamic fixed-income portfolios that are diversified by strategy and security type. Investment risk is managed carefully, using bespoke guidelines, quantitative risk analytics, and in-house and third-party limit monitoring.
Featured funds
Multi-Asset Credit Fund (MACF)
Our Multi-Asset Credit Fund is dynamically invested across multiple credit risk premia – including personal, corporate and sovereign balance sheets – ensuring strong diversification and more stable returns.
Unconstrained Bond Fund (UBF)
Our unconstrained strategy seeks to address the challenging, low interest rate environment which has made it difficult to find reliable, income-generating investments.
Explore our fixed income funds:
Emerging Market Debt Fund
Global Bond Fund
Global Credit Fund
Global High Yield Fund
Floating Rate Fund
Sterling Bond Fund
US Bond Fund
For questions, contact Jim:
Jim Leggate
/ HEAD OF UK INSTITUTIONAL
AND MIDDLE EAST
Ready to take the next step? We're here to help.
Request a meeting
Let us know what you'd like to discuss and we'll be happy to connect with you.
Request a meeting
More funds and strategies
Multi-asset
Investing in a global mix of asset classes in a single investment portfolio.
Alternatives
Increasingly used by institutional investors to help achieve both return and diversification goals.
Any opinion expressed is that of Russell Investments, is not a statement of fact, is subject to change and does not constitute investment advice.
The value of investments and the income from them can fall as well as rise and is not guaranteed. You may not get back the amount originally invested.
Some investments/bonds may not be liquid and therefore may not be sold instantly. If these investments must be sold on short notice, you might suffer a loss.