Please ensure Javascript is enabled for purposes of website accessibility Five years on: What the BNY Strategic Bond Fund has learned in a changing rate environment
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Five years on: What the BNY Strategic Bond Fund has learned in a changing rate environment

Five years on: What the BNY Strategic Bond Fund has learned in a changing rate environment

Over the past five years, bond investors have navigated a dramatically different market environment, shaped by persistent inflation, higher interest rates and periods of acute volatility. In this video, Adam Whiteley, portfolio manager of the BNY Strategic Bond Fund, reflects on how the Fund has sought to deliver consistency through active management, global diversification and a disciplined investment process. He also highlights why selectivity across bond maturities and regions remains critical as investors assess the next phase for fixed income.
 

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Important Information

On 2 December 2025 the Fund's name changed from the Responsible Horizons Strategic Bond Fund to the BNY Strategic Bond Fund.

This is a marketing communication.

BNY Investments is the brand name for the investment management business of BNY and its investment firm affiliates worldwide. BNY is the corporate brand of The Bank of New York Mellon Corporation and may be used to reference the corporation as a whole or its various subsidiaries generally.  ©2026 BNY.


2053101 Exp: 23 September 2027

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