Flexibility can make all the difference when navigating the various stages of the economic cycle. At Carmignac, for more than 30 years now our independence has allowed us the freedom to implement a truly active approach, enabling us to seek out investment opportunities wherever they may be.
This mindset is fully reflected in our range of fixed income Funds. They embrace a fundamentally flexible approach underpinned by a rigorous risk management framework and have been designed to adapt to different market configurations, be they bullish or bearish. Read more >