About this fund
A flexible fixed income strategy and core bond alternative, that aims to adapt to changing markets in order to maximise investors’ total returns while mitigating the risks associated with a more volatile interest rate and credit environment.
The fund does not focus on just one area of global bond markets. It is a result of collaboration between portfolio managers within the BlackRock group and over 150 investment specialists globally who cover corporate, sovereign, municipal and structured bonds.
Unconstrained fixed income investing today
In this video, our fixed income specialists expand on the challenges and opportunities in today’s bond markets.