L&G believe uncertainty is the new certainty due to geopolitical issues, including the potential impact of US tariffs on the global economy.
Therefore, adopting a flexible approach by exploring opportunities across fixed income markets globally could help investors navigate idiosyncratic market risks. In L&G’s view, not being tied to a benchmark, sector, region or narrow duration target could help investors prepare for surprises.
The value of an investment and any income taken from it is not guaranteed and can go down as well as up, and the investor may get back less than the original amount invested.
The L&G Strategic Bond Fund is L&G’s flagship unconstrained strategy for UK wealth managers and financial advisers. Find out more here.

















