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Government and corporate bonds

Access to the main bond markets

OFI Asset Management offers a wide range of bond expertise in terms of investment styles, including investment grade, high yield, bond allocation, breakeven-inflation, etc., and investment approaches (benchmarked, absolute return, fixed maturity, SRI, etc.).
These skills allow it to address various strategic objectives, regardless of the investment horizon, including the quest for yield, reduced sensitivity to higher interest rates, exploiting potentially higher inflation, and others.
The fund range features conviction-based management that calls on fundamental and relative research of issuers in close cooperation with our team of credit analysts. The funds make aggressive bets in terms of economic sector, duration, and positioning on the yield curve.

An offering that meets investors’ needs in terms of investment horizon and risk/reward.

Go to our fund selection