With investors increasingly concerned about rising volatility in markets, at Lombard Odier IM, our absolute
return bond strategy has a strict focus on risk levels and aims to deliver positive results in all market conditions.
It adopts a robust risk management process and seeks to maintain a high level of liquidity which is
paramount in today's markets.
Benchmark unconstrained, the Portfolio Managers are able to invest in a wide variety of global opportunities
and utlise a range of diversified securities including derivatives to generate returns.
Highly-rated, the LO Funds – Absolute Return Bond has a ‘strong’ fund quality rating from Fitch.