Asset class coverage:
fixed income

Fixed income strategy specialists provide thorough coverage across all sectors of the market: global and regional, single-sector and multi-sector (absolute return, multi-asset credit), emerging markets and developed markets, leveraged loans, green bonds, securitised credit, convertibles, CAT bonds and more.

Fixed Income Investment grade Government bonds Aggregate bonds Corporate bonds Global and regional strategies (e.g. Europe, US) Sub-investment grade High yield bonds High quality high yield bonds Short duration high yield bonds Leveraged loans Global and regional strategies (e.g. Europe, US) Hard currency sovereign bonds Local currency sovereign bonds Emerging market corporate bonds Blended emerging market debt Global and regional strategies (e.g. Asia, China) Unconstrained fixed income Absolute return bonds Diversified high yield assets Convertible bonds Asset-backed securities Securitised credit Municipal bonds Cat bonds and ILS Buy & Maintain strategies Liability-Driven Investment (LDI) Cash Flow-Driven Investment (CDI) Other customised investment mandates Emerging Market Debt Solutions Multi-Sector Satellite / Diversifiers

Fixed income manager searches

174+
clients
27+
countries
$72+
billion in searches

bfinance’s fixed income services

Supporting fixed income manager selection

Our fixed income specialists offer hands-on, tailored support throughout the manager selection process. We work with a wide range of clients—from insurers with strict balance sheet requirements to family offices seeking innovative strategies or enhanced yield.

Fixed income investing often involves specific constraints, such as:

  • Credit quality or duration limitations
  • Regulatory or accounting requirements
  • Liability-matching or capital preservation goals
  • Risk controls tailored to institutional mandates

We help clients:

  • Identify both pooled funds and bespoke separately managed accounts
  • Access opportunities that may not be available “off the shelf”
  • Compare fixed income fund managers based on investment approach, performance, cost, and fit

ESG integration in fixed income strategies

The fixed income team is supported by our dedicated ESG advisory unit, ensuring a rigorous approach to assessing managers' investment processes and ESG capabilities. Read more about ESG in Manager Research.

We offer:

  • ESG data insights from across the fixed income manager universe
  • Assessment of green bond frameworks and sustainable bond portfolios
  • Research on emerging ESG-labelled instruments and evolving best practices

This supports clients who wish to align fixed income portfolios with sustainability goals without compromising on returns.

For manager research in related asset classes, we provide cross-team support alongside relevant Private Markets, Multi Asset and Equity specialists. In all cases, the firm’s Operational Due Diligence unit is available to support implementation where required.

Strategic asset allocation and portfolio design

In portfolio design and strategic asset allocation, our fixed income specialists support the bfinance Portfolio Solutions team in developing high-quality analysis of clients’ fixed income exposures, credit strategies currently being used and the overall asset mix. This provides a strong, practical ‘bottom-up’ perspective of the current availability/attractiveness of various bond strategies, complementing ‘top-down’ analysis.

This dual approach ensures that investors’ fixed income portfolios are both strategically sound and operationally effective.

Monitoring and fee reviews

Our team supports clients with ongoing fixed income performance monitoring, ensuring managers remain aligned with benchmarks, mandates, and market conditions. We offer:

  • Independent performance attribution and peer comparisons
  • Live insights into market drivers and pricing trends
  • Practical fee benchmarking and negotiation support to ensure cost efficiency

These reviews not only improve transparency but also help institutional investors identify underperformance early and act proactively.

Why work with us?

  • Seamless integration: We act as an extension of your team, providing the expertise and resources you require precisely when you need them.
  • Expertise across fixed income markets – from government bonds to structured credit and ESG-labelled bonds.
  • Custom portfolio design – aligned with your goals, risk profile, and regulatory needs.

Latest case studies

A Canadian Financial Services Company has engaged bfinance to support in evaluating its glidepath...

A European multi-family office and wealth manager, serving high-net-worth families, foundations,...

A German pension and insurance plan engaged bfinance to review and refine their portfolio. The...

A Bermudian reinsurance company engaged bfinance to review its investment strategy. The goal was...


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Fixed income

How can we help you?

Connect with one of our investment specialists today and let us know how we can help.