How We Invest
Our Active 360° Fixed Income Approach
We believe our active fixed income approach is key to navigating today's challenging bond market and adding long-term value. Our fixed income investment process combines collective expertise, long-term discipline and risk management to capitalize on changing market dynamics.
The fixed income investment team works closely with the equity and quantitative teams, sharing information and debating ideas. We assess the opportunity set as it changes and position our funds’ holdings, for the long-term, which benefit from durable credit fundamentals and attractive valuations. We take on risk intentionally when we believe we are being compensated appropriately and reduce it when we don’t.
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The Big Mac
- English
- Institutions & Consultants
- Insights
- Fixed Income
The Big Mac
A periodic global fixed income note that discusses relevant topics across bond markets and the global macro environment
The Big Mac | Read8 November 2024The Big Mac*: Managing Credit’s Pricing of Perfection
In this edition of The Big Mac, we discuss why we believe the outlook for total returns in fixed income remains robust despite current spread levels.
The Big Mac | READ12 July 2024The Big Mac1 on Fixed Income Allocation
In this edition of The Big Mac, we discuss the role of fixed income in a positively correlated world.
The Big Mac | READ10 January 2024The Big Mac on Fixed Income Allocation: FIFOMO
In this edition of the Big Mac, we discuss how the Fixed Income Fear Of Missing Out (FIFOMO) is going to be the new fear that fixed income investors will soon be facing.
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Macro Talking Points
Macro Talking Points
Weekly global fixed income analysis through a macroeconomic lens
Macro Talking Points | Read18 November 2024Macro Talking Points - Week of 18 November 2024
Global fixed income market analysis through a macroeconomic lens.
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Fixed Income Insights
Fixed Income Insights
Fixed income market and asset class analysis, positioning, and other perspectives from across MFS
Fixed Income Insight | Read20 November 2024Impact of US Election Outcome on Emerging Market Debt
This paper discusses what the recent US election outcome mean for emerging market debt, potential opportunities and hurdles going forward and how the team is considering adjusting portfolios.
Macro Talking Points | Read18 November 2024Macro Talking Points - Week of 18 November 2024
Global fixed income market analysis through a macroeconomic lens.
The Big Mac | Read8 November 2024The Big Mac*: Managing Credit’s Pricing of Perfection
In this edition of The Big Mac, we discuss why we believe the outlook for total returns in fixed income remains robust despite current spread levels.
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Related Strategies
MFS® Fixed Income Strategies
In today's markets, the ability to navigate changing dynamics is, in our view, critical to pursuing clients' objectives. We have a broad lineup of actively managed fixed income strategies designed to meet the unique needs of institutional investors. Below are highlights of our fixed income capabilities.
Core/Aggregate
Global
Strategy Strategy Fact Sheet(s) MFS® Global Aggregate Core USD MFS® Global Aggregate Core Plus USD
MFS® Global Aggregate Opportunistic USD Hedged USD, GBP Corporate
Strategy Strategy Fact Sheet(s) MFS® Global Credit USD MFS® Global Investment Grade Credit USD MFS® Global High Yield USD Emerging Markets
Strategy Strategy Fact Sheet(s) MFS® Emerging Markets Debt Diversified USD MFS® Emerging Markets Local Currency Debt USD MFS® Emerging Markets Corporate Debt USD MFS® Emerging Markets Debt Opportunities USD MFS has a wide range of global fixed income capabilities designed to meet the institutional investor's unique objectives. In addition to the related strategies listed on this page, MFS also offers a variety of Government/Municipal strategies.
- English
- Institutions & Consultants
- Insights
- Fixed Income
The Big Mac
A periodic global fixed income note that discusses relevant topics across bond markets and the global macro environment
The Big Mac*: Managing Credit’s Pricing of Perfection
In this edition of The Big Mac, we discuss why we believe the outlook for total returns in fixed income remains robust despite current spread levels.
The Big Mac1 on Fixed Income Allocation
In this edition of The Big Mac, we discuss the role of fixed income in a positively correlated world.
The Big Mac on Fixed Income Allocation: FIFOMO
In this edition of the Big Mac, we discuss how the Fixed Income Fear Of Missing Out (FIFOMO) is going to be the new fear that fixed income investors will soon be facing.
Macro Talking Points
Weekly global fixed income analysis through a macroeconomic lens
Macro Talking Points - Week of 18 November 2024
Global fixed income market analysis through a macroeconomic lens.
Fixed Income Insights
Fixed income market and asset class analysis, positioning, and other perspectives from across MFS
Impact of US Election Outcome on Emerging Market Debt
This paper discusses what the recent US election outcome mean for emerging market debt, potential opportunities and hurdles going forward and how the team is considering adjusting portfolios.
Macro Talking Points - Week of 18 November 2024
Global fixed income market analysis through a macroeconomic lens.
The Big Mac*: Managing Credit’s Pricing of Perfection
In this edition of The Big Mac, we discuss why we believe the outlook for total returns in fixed income remains robust despite current spread levels.
MFS® Fixed Income Strategies
In today's markets, the ability to navigate changing dynamics is, in our view, critical to pursuing clients' objectives. We have a broad lineup of actively managed fixed income strategies designed to meet the unique needs of institutional investors. Below are highlights of our fixed income capabilities.
Core/Aggregate
Global
Strategy | Strategy Fact Sheet(s) |
---|---|
MFS® Global Aggregate Core | USD |
MFS® Global Aggregate Core Plus | USD |
MFS® Global Aggregate Opportunistic USD Hedged | USD, GBP |
Corporate
Strategy | Strategy Fact Sheet(s) |
---|---|
MFS® Global Credit | USD |
MFS® Global Investment Grade Credit | USD |
MFS® Global High Yield | USD |
Emerging Markets
Strategy | Strategy Fact Sheet(s) |
---|---|
MFS® Emerging Markets Debt Diversified | USD |
MFS® Emerging Markets Local Currency Debt | USD |
MFS® Emerging Markets Corporate Debt | USD |
MFS® Emerging Markets Debt Opportunities | USD |
MFS has a wide range of global fixed income capabilities designed to meet the institutional investor's unique objectives. In addition to the related strategies listed on this page, MFS also offers a variety of Government/Municipal strategies.