Wellington Management Global Impact Bond

    Wellington manages a variety of equity and fixed income strategies that have explicit sustainability objectives. This includes impact investing strategies, in addition to strategies focused on deep ESG integration and engagement. Many of our impact approaches align with the UN Sustainable Development Goals and also produce Key Performance Indicator (KPI) reporting.

    The Wellington Management Global Impact Bond strategy is a fixed income portfolio that invests in organizations addressing some of the world’s major social and environmental challenges. The approach invests primarily in investment grade securities issued by government, supranational, local agency, corporate, and securitized issuers, while seeking to address a range of impact themes including affordable housing, education, health, and alternative energy.