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We are currently building our database of fund managers for funds registered for sale in GCC countries. For any questions or to add fund manager information please contact
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Funds & Fund Managers

All calculations in USD, unless stated
over :
 Average Manager Total Return : 3.4% (31 January 2019 - 31 January 2020)
Total Return
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Performance is for the period shown (month end to month end, bid/bid, gross income reinvested, calculated in the currency and currencies indicated).

Bond giant Pimco’s base scenario for the asset class

The $1.88tn firm is ‘relatively cautious’ on bond markets, says A-rated Mark Kiesel, its CIO for global credit.

LOIM’s Bajaj and ASI’s Diment debate EMD’s brightest spots

The two senior investors are split on where the emerging world holds the most promise for bond buyers.

Invesco's Asia Pacific fixed income CIO exits

Departing manager oversaw all fixed income investment products and processes in the region, Citywire Selector has learned.

Lombard Odier makes case for GCC bonds in Asia portfolios

These bonds make up five to 10 percent of some fixed income portfolios, shares Dhiraj Bajaj, head of Asia fixed income at Lombard Odier

Strategies that could work in a negative-yielding world

Citywire Asia speaks to JP Morgan Asset Management, UBS Asset Management and PineBridge Investments, to understand the strategies they are employing