A global franchise spanning public
and private, active and passive
investments. We offer a full range
of global, regional and
single-country solutions tailored to
investor needs, from money markets
to high yield, across the risk
spectrum.
Niche sector exposures allow a broad range of clients access to our extensive expertise and heritage across debt markets.
New fixed income
The asset class is evolving and expanding rapidly
with new opportunities in securitized,
mortgage-backed, working capital, private, real
estate and infrastructure debt. We understand
these changes and aim to bring them to a broad
range of investors through solutions that meet
their needs.
Broad range of solutions
Our scale, heritage and global perspective enables
us to provide access to a wide range of solutions
meeting different client needs.
In-depth expertise
Our heritage and long-standing as fixed income
investors means we have dedicated teams with the
experience to understand market cycles and
constant flux of debt investing.
Global
Strategies across the global fixed
income asset class spectrum,
including flexible, unconstrained,
aggregate, and corporates, and from
low to medium correlation to
benchmark-aware portfolios.
Regional and single-country
Emerging markets, Asia, China and
other regional approaches, and
across government and corporate
bonds.
Sustainable, indexed and thematic
Climate Aware, indexed, and thematic
fixed income offerings.
Gathering of yields from US IG bonds
Why invest in European High Yield?
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Introducing our leadership team
Meet the members of the team
responsible for UBS Asset Management’s
strategic direction.