Outlooks & Market Updates
Public Fixed Income
With decades of investing across market cycles, credit quality, duration and geographies, our specialist teams aim to deliver risk-adjusted fixed income solutions at every point on the curve.
Public Fixed Income AUM1
$411.7B
Investment Professionals2
250+
Yield that’s ahead of the curve
Fundamental research built from the ground up and applied with the same discipline across every cycle
Our investment teams analyze every position at its security level. Portfolio managers, research analysts and traders work together as one decision-making unit. Across investment grade, leveraged finance, emerging markets and Asia fixed income, the same discipline applies: risk management and portfolio construction grounded in rigorous fundamental analysis.
Public Fixed Income capabilities
We provide a broad and diverse mix of fixed income strategies that seek to address market challenges unique to each economic and credit cycle.
Actively managed strategies targeting mispriced opportunities in Asian credit markets through high-conviction research, aiming to provide investors with differentiated alpha potential and regional diversification.
Diversified strategies across sovereign and corporate emerging market debt in hard and local currencies, aiming to provide investors with higher income opportunities and portfolio diversification through exposure to global growth economies.
Low-cost, flexible access to diversified market exposures across broad fixed income indexes to support liquidity needs or targeted investment goals.
Strategies investing across high-grade fixed income markets seeking to deliver attractive risk-adjusted returns, providing investors with income stability, capital preservation and lower credit risk exposure.
Strategies spanning high yield bonds, bank loans and collateralized loan obligations (CLOs) across below-investment-grade credit markets seeking to generate income and manage downside risk, providing investors with enhanced yield, diversification and resilient income potential.
Flexible strategies investing across global fixed income and multi-asset credit markets seeking to capture attractive relative value opportunities, providing investors with income, total return potential and broad diversification.
Strategies focused on shorter-duration, investment grade credit seeking to protect principal and enhance returns, providing investors with reduced interest rate sensitivity, enhanced liquidity and capital stability potential.
Our Leadership Team
Timothy Rabe, CFA
Head of Public Fixed Income
Omar Slim, CFA
Co-Head of Asia Fixed Income
Andy Suen, CFA, FRM
Co-Head of Asia Fixed Income
Scott Moses, CFA
Portfolio Manager - Head of Emerging Markets Debt
Stephen Mullin, CFA
Head of Investment Grade Portfolio Management, Fixed Income
John Yovanovic, CFA
Co-Head of Leveraged Finance
Scott Pavlak, CFA
Portfolio Manager - Head of Short Duration, Multi-Sector Fixed Income and Index Strategies
Ian Bowman
Global Head of Credit Research, Fixed Income
Jason Valentino
Head of Structured Products, Fixed Income
Dana Cottrell
Head of Investment Grade Trading
Carrie Biemer, CFA
Global Rates and Derivatives Trading
Steven Oh
Co-Head of Leveraged Finance