Global High Income Fund

Locking in Capital Gains from the Interest Rate Cut Cycle

Lock in attractive long-term returns ahead of the curve With the U.S. entering a renewed easing cycle, fundamentally sound long-duration bonds have become the asset class offering the best risk-reward profile.

Balancing High Static Yield with Strict Risk Control

Focus on high-quality, investment-grade bonds Global High Income Fund offers a more attractive static yield compared to the benchmark, with all holdings rated investment grade.

Current allocation: 40% long-term vs. 60% mid/short-term bonds

Active and Flexible Allocation Strategy The fund adopts an active investment strategy to capture opportunities. it locks in returns with long-end bonds while maintaining ample flexibility through low-volatility mid/short-end bonds.