Fixed Income investing at BNY Mellon Investment Management
Active management
Our fixed income funds are actively-managed by seasoned investors with extensive track records, looking to unlock hidden opportunities around the world.
Fundamental research
Our investment firms pride themselves on rigorous bottom-up research with analysts covering both credit and sovereign issuers and issues. They work in and across teams to ensure they identify the best opportunities.
Full spectrum
Whether you are looking for exposure to global credit or for a sterling inflation-linked fund, we have a range of strategies across the fixed income universe.
Traditional and responsible
Responsible investing within fixed income is becoming more important as investors realise the role fixed income holders can play. Our investment firms, Insight and Newton, both have a long heritage of investing in traditional fixed income, and with an emphasis on investing responsibly.
OUR FIRMS
Two of our investment firms have fixed income expertise available to UK investors
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Explore Insight
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Explore Newton
Our fixed income fund range
Easy access to our funds and related content
BNY Mellon Global Dynamic Bond Fund (UK domiciled)
Responsible Horizons Strategic Bond Fund (UK domiciled)
Responsible Horizons UK Corporate Bond Fund (UK domiciled)
BNY Mellon Global Dynamic Bond Fund (UK domiciled)
BNY Mellon Global Dynamic Bond Income Fund (UK domiciled)
BNY Mellon Global High Yield Bond Fund (UK domiciled)
BNY Mellon International Bond Fund (UK domiciled)
BNY Mellon Sustainable Global Dynamic Bond Fund (UK domiciled)
Responsible Horizons Strategic Bond Fund (UK domiciled)
BNY Mellon Index Linked Gilt Fund (UK domiciled)
BNY Mellon Inflation-Linked Corporate Bond Fund (UK domiciled)
BNY Mellon Sustainable Sterling Bond Fund (UK domiciled)
Responsible Horizons UK Corporate Bond Fund (UK domiciled)
BNY Mellon Sustainable Global Dynamic Bond Fund (UK domiciled)
BNY Mellon Sustainable Sterling Bond Fund (UK domiciled)
Responsible Horizons Strategic Bond Fund (UK domiciled)
Responsible Horizons UK Corporate Bond Fund (UK domiciled)
Articles
Mixed economic signals puzzle fixed income investors
As central banks work to tackle inflation just how healthy are the prospects for European credit markets?
Pivotal moments
Economists and portfolio managers from BNY Mellon Investment Management share ‘pivotal moments’ of recent years and how they have influenced macroeconomic and market trends
Can impact bonds become an EM game changer?
Emerging market impact bonds look set for major growth and could bring a range of positive outcomes for EM countries.
What’s next for global credit markets?
Why the return of sustained inflationary pressures and higher interest rates has buoyed credit markets in sectors such as investment grade.
Weighing the fixed income advantage of UK corporates
How rising yields are boosting the appeal of the UK corporate bond sector.
Are we heading for a fixed income renaissance?
BNY Mellon Investment Management chief economist Shamik Dhar looks at key macroeconomic drivers which could buoy fixed income markets in the years ahead.
Explore more capabilities
The value of investments can fall. Investors may not get back the amount invested. Income from investments may vary and is not gurarnteed.