We work with our clients to provide a comprehensive range of investment strategies and meet a diverse range of needs. Spanning core, core plus, credit, unconstrained, emerging markets, municipals and specialty, our fixed income strategies are managed by our specialist investment managers located around the globe.
Why Franklin Templeton
Unrivalled experience, unmatched global breadth and depth, and unparalleled innovation have put Franklin Templeton at the forefront of fixed income investing for more than 50 years.
We understand the needs of our clients and have a strong track record of navigating market cycles and creating value.
Strategies to Address Investor Needs
Grounded in Active Management
We believe active management can help generate attractive returns and reduce volatility over the long-term. Robust research guides our investment decisions to help deliver outcomes that meet client needs.
Global Expertise
Each of our specialist managers follow a well-defined investment process that is rooted in fundamental research, discipline, rigor and experience gained over decades of successfully navigating global markets and varying market environments.
Our Investment Strategies
With Franklin Templeton you can tap into a variety of fixed income opportunities managed by experienced investment teams. Benefit from the local market expertise and deep resources of our specialist investment managers. Whether your goals are income, diversification or total returns, our range of fixed income strategies can play a role as part of a diversified portfolio.
Solution:
- Diversification
- Capital Preservation
- Income
Role:
- Multi-Sector
- Core/Core Plus
- Credit
- Unconstrained
- Emerging Markets
- Sector
Geography:
- Global
- Emerging Markets
- Developed Markets
- Single Country
Featured Funds
FTGF Brandywine Global Income Optimiser Fund
An all-weather global bond fund that seeks attractive income generation while guarding against downside risks.
Franklin Floating Rate Fund
Unique strategy that seeks current income and capital preservation by investing primarily in floating or variable rate senior secured debt securities.
Legg Mason Western Asset Global Bond Trust
Active strategy that seeks to maximise total return in SGD terms by employing fundamental economic and market analysis to invest in a portfolio of high quality debt securities.
Templeton Global Total Return Fund
Unconstrained benchmark-agnostic and highly flexible investment strategy seeking total return from multiple return sources, while protecting and hedging against global macro risks.
Templeton Global Bond Fund
Diversified investment strategy that invests across bonds and currency markets with strong fundamentals and potential for long-term returns.
Our Managers
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Our representatives can answer your questions and help you find what you need.


