Please ensure Javascript is enabled for purposes of website accessibility Fixed Income in Focus - MASTER-COPY - BNY Investments
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Capabilities

FIXED INCOME

 

 

 

 

The path to achieving long-term goals

We believe that the resulting normalisation of yields presents an attractive opportunity, possibly the best in fifteen years. What does this mean for bond investors? Bonds once again offer prospects for ongoing returns as well as potential to achieve long-term yield objectives.

We seek out yield in unexpected places, constantly innovating to deliver refreshingly different fixed income solutions.

Our comprehensive offering from Insight Investment

At Insight Investment, all they do is fixed income. Established in 2002, now decades of specialist fixed income experience across global teams provides investors with access to extensive investment opportunities. Clients can access traditional, specialised, and absolute-return strategies that can also be tailored to their specific needs.

Insight are dedicated to an approach designed to deliver precision in the way that they invest. With this focus on precision, Insight seek to deliver consistency for investors and the outcomes they rely upon, they take responsibility for delivering reliability. 

An extensive fixed income capability

€230.2bn

fixed income assets under management globally1

167

fixed income investment specialists2

Source: Insight as at June 2025. Assets under management (AUM) are represented by the value of cash securities and other economic exposure managed for clients. Where the methodology defines it, some asset reporting focuses on cash securities only. Figures shown in GBP. Reflects the AUM of Insight, the corporate brand for certain companies operated by Insight Investment Management Limited (IIML). Insight includes, among others, Insight Investment Management (Global) Limited (IIMG), Insight Investment International Limited (IIIL), Insight Investment Management (Europe) Limited (IIMEL) and Insight North America LLC (INA), each of which provides asset management services.

Source: Insight as at June 2025.
 

Featured Funds

We offer a variety of fixed-income solutions, including investment-grade bonds and high-yield options, aimed at helping you achieve financial or joint financial and sustainability goals. 

CREDIT

BNY Mellon Global Credit Fund

CREDIT

BNY Mellon Global Credit Fund

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Objective: To achieve a total return from income and capital growth.

BenchmarkThe Fund will measure its performance against the Bloomberg Barclays Global Aggregate Credit TR Index (hedged to US Dollars) (the “Benchmark”).

The Fund is actively managed, which means the Investment Manager has discretion to invest outside the Benchmark subject to the investment objective and policies disclosed in the Prospectus. However, as the Benchmark covers a significant proportion of the investable universe, the majority of the Sub-Fund’s holdings will be constituents of the Benchmark and the weightings in the portfolio may be similar to those of the Benchmark. The investment strategy will restrict the extent to which the portfolio holdings may deviate from the Benchmark and consequently the extent to which the Sub-Fund can outperform the Benchmark.

CORPORATE

Responsible Horizons Euro Corporate Bond Fund

CORPORATE

Responsible Horizons Euro Corporate Bond Fund

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Objective: To generate a total return comprised of income and capital growth by investing primarily in a broad range of Euro denominated debt and debt-related securities and related financial derivative instruments, whilst taking environmental, social and governance (“ESG”) factors into account.

BenchmarkTo generate a total return comprised of income and capital growth by investing primarily in a broad range of Euro denominated debt and debt-related securities and related financial derivative instruments, whilst taking environmental, social and governance (“ESG”) factors into account.

The Fund is actively managed, which means the Investment Manager has discretion to invest outside the Benchmark subject to the investment objective and policy. However, as the Benchmark covers a significant proportion of the investable universe, the majority of the Fund’s holdings will be constituents of the Benchmark and the weightings in the portfolio may be similar to those of the Benchmark. The investment strategy will restrict the extent to which the portfolio holdings may deviate from the Benchmark and consequently the extent to which the Fund can outperform the Benchmark.

HIGH YIELD

BNY Mellon Global Short-Dated High Yield Fund

HIGH YIELD

BNY Mellon Global Short-Dated High Yield Fund

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Objective: To deliver positive returns greater than the Cash Benchmark SOFR (90-day compounded) on a 3 year rolling basis.

BenchmarkThe Fund will measure its performance against the Bloomberg Barclays Global Aggregate Credit TR Index (hedged to US Dollars) (the “Benchmark”).

The Fund will measure its performance against SOFR (90-day compounded) (the “Cash Benchmark”). SOFR (the Secured Overnight Financing Rate) is a broad measure of the cost of borrowing cash overnight collateralised by U.S. Treasuries and is administered by the New York Federal Reserve.

The Cash Benchmark is used as a target against which to measure its performance on a rolling annualised 3-year basis, before fees.

The Fund is actively managed, which means the Investment Manager has discretion over the selection of investments, subject to the investment objective and policies disclosed in the Prospectus.

ABSOLUTE RETURN

BNY Absolute Return Bond Fund

ABSOLUTE RETURN

BNY Mellon Absolute Return Bond Fund

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Objective: To achieve a total return from income and capital growth.

BenchmarkThe Fund will measure its performance against the Bloomberg Barclays Global Aggregate Credit TR Index (hedged to US Dollars) (the “Benchmark”).

The Fund is actively managed, which means the Investment Manager has discretion to invest outside the Benchmark subject to the investment objective and policies disclosed in the Prospectus. However, as the Benchmark covers a significant proportion of the investable universe, the majority of the Sub-Fund’s holdings will be constituents of the Benchmark and the weightings in the portfolio may be similar to those of the Benchmark. The investment strategy will restrict the extent to which the portfolio holdings may deviate from the Benchmark and consequently the extent to which the Sub-Fund can outperform the Benchmark.

Fixed Income Strategies at Insight

The Roles Fixed Income Can Play in Your Portfolios

roles-of-fixed-income-mapping
How are Diverging Rate Paths Shaping Fixed Income in the U.S., Europe and EM?
Article | Fixed Income

After years of synchronization, global monetary and fiscal policies are now moving in different directions, reflecting varying growth dynamics, inflation pressures and policy priorities.

Why high-yield debt issuers call bonds early
Article | Fixed Income

It’s a common question among fixed income investors: why are some bonds called early? Insight Investment’s high yield team answers this and explores some of the opportunities it can create.

How are Diverging Rate Paths Shaping Fixed Income in the U.S., Europe and EM?
Article | Fixed Income

After years of synchronization, global monetary and fiscal policies are now moving in different directions, reflecting varying growth dynamics, inflation pressures and policy priorities. Therefore, yield differentials, curve shapes and credit spreads are becoming more dispersed, creating new avenues for returns but potentially making it harder to spot the opportunities.

6 for 2026 Outlook: Global Credit
Article | Fixed Income

Fading cash yields could see a powerful rotation into credit markets, while AI growth financing and the emerging markets could offer new opportunities. Peter Bentley gives his 6 potential catalysts for credit investments in 2026.

 

The value of investments can fall. Investors may not get back the amount invested.
 

Please refer to the prospectus, and the KIID/KID before making any investment decisions. Documents are available in English and an official language of the jurisdictions in which the Fund is registered for public sale. Go to fund-centre.
 

*Investment Managers are appointed by BNY Mellon Investment Management EMEA Limited (BNYMIM EMEA), BNY Mellon Fund Managers Limited (BNYMFM), BNY Mellon Fund Management (Luxembourg) S.A. (BNY MFML) or affiliated fund operating companies to undertake portfolio management activities in relation to contracts for products and services entered into by clients with BNYMIM EMEA, BNY MFML or the BNY Mellon funds.
 

2711400  Expiry 30 September 2026

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