In this video update from Senior Portfolio Manager Vivek Bommi, we review conditions across global non-investment grade bond markets and offer our outlook for the asset class.

The main risks facing the strategies discussed are market risk, liquidity risk, credit risk, interest rate risk, emerging markets risk, derivatives risk, counterparty risk, operational risk & currency risk. For further details please see the fund prospectus and key investor information document (KIID) which are available on