Evidence-based investing
Quantitative signals and proven investment factors support disciplined, repeatable decision-making.

Quantitative signals and proven investment factors support disciplined, repeatable decision-making.

Designed to complement core allocations, enhance returns or help manage risk across the credit cycle.

Daily liquidity, transparency and cost efficiency in a simple, accessible structure.
Our credit ETFs use systematic credit selection to capture alpha while controlling risk across global and European investment grade credit.
These ETFs offer a liquid, risk-aware way to access global and European high yield credit, while maintaining the flexibility to respond as market conditions change.
The Climate Euro Government Bond ETF aligns sovereign bond investing with the climate transition, while targeting a risk and return profile comparable to traditional government bond benchmarks.