Knowing when to lead and when to follow is a key part of investing. Over the past 30 years following the bond market has been a successful strategy, but today’s markets demand a more active approach. One that balances the agility and flexibility required to stay in sync with rapid market shifts with the experience to know when to make the next move.

From firms that have navigated every credit cycle since the great depression, to insurance market specialists to sustainable investing pioneers, each of our investment managers approach fixed income in very different ways. Yet they have one thing in common – they are not natural followers. Which is exactly why they are perfectly suited to navigating the complexity of current markets and helping you take the lead.

Why Natixis IM for Fixed Income?
  • Size: €614.7 billion in fixed income*
  • Reach: North America, Europe, Asia, Emerging markets
  • Range: Each investment manager has a unique set of views, skills and solutions, offering not just flexibility but genuine expertise forged through experience

Our Featured Expertise

Loomis, Sayles & Company

Managing assets on behalf of clients since 1926

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DNCA Investments

Conviction-based approach to credit for more than 20 years

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Ostrum Asset Management

Proprietary credit research via 23 seasoned analysts

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Pioneers in social and green bond investing since 2012

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