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Fixed income

Unlock fixed income value alongside a trusted partner with over 95 years of experience

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Why wellington for fixed income

Our fixed income portfolio management capabilities span all publicly traded sectors. We seek to combine top-down and bottom-up inputs to identify and exploit fixed income market inefficiencies around the world.

Our private partnership structure helps us to attract and retain world-class investment talent and allows us to align performance incentives for our professionals with the achievement of client objectives. This has contributed to the depth, experience, and continuity of our fixed income investors.

Our experienced team of over 200 dedicated fixed income professionals includes portfolio managers, credit, currency, and quantitative analysts, traders, and strategists.

Each specialist team makes its own decisions for client portfolios. We believe this independence can help generate more consistent performance across market environments by diversifying return sources.

Awards and Recognition

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Asset Class Awards
Asian Fixed Income, US Dollar¹

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Asset Class Awards
Asian Fixed Income²

Awards and recognition

2025 Asian Private Banker Asset Management Awards for Excellence - Best New Fund – Bond3

Asia Asset Management 2025 Best of the Best Awards - Fund Launch of the Year (Singapore)4

Fund Selector Asia Fund Awards Singapore 2025 - Emerging Market Bond, Platinum5

Fund Selector Asia Fund Awards Singapore 2025 - Regional Bond, Platinum5

Past performance is not indicative of future performance.

1 Awarded to Wellington Asia Credit Income Fund. Issued by AsianInvestor, 2026 award, reflecting performance from October 2024 to September 2025.

2 Awarded to Wellington Asia Credit Income Fund. Issued by AsianInvestor Wealth, 2026 award, reflecting performance from October 2024 to September 2025.

3 Awarded to Wellington Credit Total Return Fund. Issued by Asia Asset Management, 2025 award, reflecting performance over the past year up to 30/11/2024.

4 Awarded to Wellington Credit Total Return Fund. Issued by Asian Private Banker, 2025 award, reflecting performance from end-August 2023 to early September 2024.

5 “Emerging Market Bond, Platinum”: awarded to Wellington Emerging Local Debt Advanced Beta SB U Acc USD. “Regional Bond, Platinum”: awarded to Wellington Global Strategic Credit D U Acc USD. Please note that these funds are not authorised or recognised by the Monetary Authority of Singapore and shares or units in the fund are not allowed to be offered to the retail. Issued by Fund Selector Asia, 2025 award, based on alpha, volatility and consistency of performance as well as fund selector choices over three years from 30/09/2021 to 30/09/2024.

Featured funds

Why quality for fixed income

Downside mitigation
Bonds, conventionally, are considered the "safer" part of one's portfolio. Historically, higher quality bonds have offered better downside mitigation in most cases, especially during periods of severe market stress associated with equity drawdowns.

Quality income for resilience
Build portfolio resilience by increasing total return potential driven by income. With expectations of steady interest rates, high-quality bonds are expected to play an important role, as a source of investment returns.

New videos from our portfolio managers

Campe Goodman

Portfolio manager Campe Goodman takes on four of the biggest questions shaping the fixed income conversation in 2026:

  • His assessment on the first year of Trump 2.0
  • How should investors approach fixed income in this environment?
  • His highest conviction ideas?
  • What are the key risks to watch over the next 6–12 months?

Ross Dilkes

What's next for Asia credit? Easier monetary policy, confidence returning to China, and improving fundamentals are creating a constructive backdrop for the region. Ross Dilkes, Fixed Income Portfolio Manager, shares his views on:

  • What recent FOMC meetings mean for Asia
  • Can China's rally continue?
  • Our highest conviction ideas
  • Key risks to watch

Over 95 years in active fixed income investing

With a history of active fixed income investing that dates back nearly a century, first in Boston and now globally, we believe our deep research and unique perspectives can help elevate your investments and unlock value in today’s markets.

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USD 500 B+

Fixed income assets managed firmwide

275+

Fixed income investment professionals

17

Average years' experience

All figures are for the Wellington Management Group of companies as at 31 December 2025.

USD 500 B+

Fixed income assets managed firmwide

275+

Fixed income investment professionals

17

Average years' experience

All figures are for the Wellington Management Group of companies as of 30 June 2026.

In this video, Investment Director Paul Skinner discusses how Wellington Management’s unique culture of collaboration, comprehensive cross-asset research, and global reach enable us to deliver robust, research-driven fixed income solutions tailored to meet diverse client needs.

LATEST INSIGHTS ON FIXED INCOME

DISCLOSURE

This material and its contents may not be reproduced or distributed, in whole or in part, without the express written consent of Wellington Management. This document is intended for information purposes only. It is not an offer or a solicitation by anyone, to subscribe for shares in Wellington Management Funds (Luxembourg) III SICAV (the Fund). Nothing in this document should be interpreted as advice, nor is it a recommendation to buy or sell shares. Investment in the Fund may not be suitable for all investors. Any views expressed are those of the author at the time of writing and are subject to change without notice. Investors should carefully read the Key Facts Statement (KFS), Prospectus, and Hong Kong Covering Document for the Fund and the sub-fund(s) for details, including risk factors, before making an investment decision. Other relevant documents are the annual report (and semi-annual report).

© 2026 Morningstar, Inc. All Rights Reserved. The information contained herein: (1) is proprietary to Morningstar; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. The Overall Morningstar Rating for a fund is derived from a weighted average of the three, five, and ten year (if applicable) ratings, based on risk-adjusted return. Past performance is no guarantee of future results.

Issued by Wellington Management Hong Kong Limited. Investment involves risk. Past performance is not indicative of future performance. This document has not been reviewed by the Securities and Futures Commission of Hong Kong.