Royal London Global Index Linked

An inflation-linked government bond fund with geographically diversified exposure to the government index linked bond market.

The fund offers diversified exposure to the Government Index Linked Bond market. Using the full resource of Royal London's research capabilities, the tea use near-term economic forecasts to generate trade ideas which they can then play in their portfolio. Trades are divided into two categories, "strategic" which have a holding period of over one month, and "tactical" which aim to take advantage of short-term price dislocations. This fund invests in index-linked bonds across all maturities.

Fund type UK OEIC
Asset class Bonds
Sector Inflation Linked Bonds
Managed by Paul Rayner & Gareth Hill
This fund is not currently listed in our model portfolios

Manager Profile

Paul Rayner is Head of Government Bonds at RLAM. Paul joined RLAM in June 2005 from SG Asset Management where he was Head of UK Bonds. Paul has over 30 years' experience in managing UK and global government bonds and a graduate in Economics from the University of Kent.

Fund performance

Royal London Asset Management

Royal London Asset Management was established in 1988 and is one of the UK's largest asset managers. RLAM is a wholly owned subsidiary of the Royal London Group, the UK's largest mutual insurer, itself founded in 1861.