Newton Global Dynamic Bond Fund
- A diversified global bond fund that invests in high yielding corporate and government fixed interest securities from a variety of bond markets worldwide
- The Fund has a highly active management approach, investing across four key asset classes: government, emerging markets, high yield corporate and investment grade corporate bonds
- Managed from within Newton's highly experienced fixed income team, which oversees assets of nearly £3 billion.*
*Source: Newton as at 31/12/05, excludes fixed income assets in balanced mandates
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Newton International Bond Fund
- An ideal holding for an investor seeking returns from the world’s government bond markets
- A conservatively managed fund that primarily invests in high quality bonds
- Active management of the currency exposure is key to generating investment returns.
- Global government bonds are often an overlooked asset class that is a vital component of a truly diversified portfolio.
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Newton Strategic Corporate Bond Fund
- Aims to provide a high income from a portfolio of mainly fixed interest securities
- The Fund has the flexibility to invest up to 100% in both high and low quality bonds to make the most of investment opportunities
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Newton European High Yield Bond Fund
- Aims to achieve a high income from fixed interest bonds denominated in a European currency
- Fund will invest in lower quality bonds to maximise returns
- Flexibility to actively manages the currency exposure of the Fund to generate additional returns
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