This actively managed strategy seeks to deliver returns above the market benchmark through a deep understanding of relative valuations across the gilt yield curve.
Our approach seeks to exploit anomalies by identifying assets with strong mean reversion characteristics, which we believe can provide a reliable and consistent source of outperformance.
We have a long heritage in investing in public debt. We manage more than £40 billion of government bonds across the company. Our experienced government bond team is integrated within the broad expertise of our public fixed income business.