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Investec Flexible Bond Strategy

The Investec Flexible Bond Strategy is suitable for specialist investors requiring a fixed income portfolio focused on outperformance of the benchmark. Assets include corporate bonds, inflation-linked bonds, listed property and cash.

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Malcolm Charles

Portfolio Manager

Peter Kent

Portfolio Manager

Highlights


Aims to maximise income and grow capital by investing in a spread of interest-bearing assets

Targets returns in excess of the benchmark, measured over rolling five-year periods

Focus is on reducing volatility of returns and preserving capital

Insights

Read the latest insight from our investment professionals.

InPerspective Summer 2019

Read how we’re assessing the domestic and global environment, managing risks and capturing opportunities in this issue.

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2019 Investment Views

From tailwinds to headwinds: a new market regime?

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Growth and resilience in uncertain times

Why we prefer global quality equities and local bonds.

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Contact us for more information

Contact our Institutional client team