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Guinness Global Dynamic Bond Fund

The Guinness Global Dynamic Bond Fund aims for income and capital growth by investing across global fixed-income markets.

Overview

Bonds can offer an attractive combination of yield and stability for income-seeking investors. But opportunities vary significantly across sectors, maturities and credit quality. The challenge for investors is knowing where to find them.

Higher yields are only part of the story. Inflation volatility, energy sensitivity and fiscal uncertainty have also increased dispersion across bond markets, making flexibility more valuable.

Income can also play a meaningful role in total returns. When yields are attractive, coupons and reinvestment provide a strong foundation for long-term compounding, making the starting yield at the point of investment an important consideration.

The Guinness Global Dynamic Bond Fund is designed to generate income and capital growth with the flexibility to allocate across duration, credit and currency opportunities.

Investment Team

High quality funds are run by high quality people.

We are proud of our collegial culture, with teams across the business benefiting from each other’s expertise as they target long-term returns for investors.

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2026 Investor Conferences

2026 Investor Conferences

For professional investors only.

Join our fund managers for a series of professional investor conferences as we cover critical topics to investors today.

Book your place below for a rewarding morning of investment ideas, roundtable discussions and expert analysis at our CPD-accreditied conferences around the UK. 

How to Invest

We aim to make it simple to invest in our funds. All our funds are open to direct investment via an application form. They are widely available on investment platforms and are eligible for UK investors’ ISAs and SIPPs.

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How to Invest in Guinness Global Investors

Investment Case

A dynamic bond strategy is most valuable when the fixed income opportunity set is uneven. Government bonds, investment grade credit, selective higher-yielding issuers and currency markets all respond differently as inflation, growth and policy conditions evolve.

By following a total return approach that is unconstrained by benchmark weights, the portfolio focuses on attractive risk-reward opportunities across global bonds. It seeks to deliver returns through different market environments by combining income, value-driven credit selection and active macro flexibility.

  • Income - An important part of the strategy’s return profile. The portfolio is designed to generate attractive monthly income, with accrued income paid out on a gross basis and fees charged to capital. 
  • Value-driven credit selection - Anchored by a strategy that identifies undervalued opportunities across investment grade and higher-quality crossover bonds. 
  • Dynamic macro flexibility - The strategy includes a dynamic macro overlay designed to manage duration, credit beta and FX exposure as market conditions change. 

The investment process is structured, repeatable and designed to adapt across market environments. It combines bottom-up credit selection with active macro management through a clear sequence: filter the universe, rank valuation, test the credit, overlay the macro, and construct the portfolio with discipline.

What does a fixed-income strategy offer?

Broad global bond universe

Issuers and bonds are ranked by valuation dislocation, with research focused on the most compelling opportunities. 

Bottom-up analysis

Conviction builds when valuation is supported by fundamentals and by a clear catalyst that can help close the gap to fair value. 

Dynamic macro overlay

The strategy includes a dynamic macro overlay, developed over many years and supported by quantitative inputs, designed to manage duration, curve exposure, credit beta and FX positioning as conditions evolve. 

Disciplined construction framework

Research and macro processes are translated into portfolio positions through a construction framework that ensures the portfolio remains aligned with the strategy’s objectives.

Balancing conviction, flexibility and liquidity

Position sizes are determined by valuation, conviction, liquidity and diversification rather than by index weights, allowing capital to be focused on the most attractive opportunities while maintaining a disciplined overall risk profile.

Measured, transparent risk

Duration is actively managed, FX exposure is controlled within a disciplined limit and derivatives are used to adjust interest-rate exposure, hedge credit beta or improve portfolio balance. 

Prioritising downside discipline

 

The strategy prioritises quality, liquidity and downside discipline over maximum carry, which can make it more robust through stressed environments.

The Guinness Global Dynamic Bond Fund could be suitable for investors seeking income and capital growth through attractive risk-reward opportunities across the global bond universe.

KIIDS

 

 

Fund Class ISIN English
Guinness Global Dynamic Bond Fund C EUR Hedged Accumulation IE000Z2LJNK4
Guinness Global Dynamic Bond Fund C EUR Hedged Distribution IE0002REEQV4
Guinness Global Dynamic Bond Fund C GBP Hedged Accumulation IE000P2LRGC0
Guinness Global Dynamic Bond Fund C GBP Hedged Distribution IE000H6HZ0T1
Guinness Global Dynamic Bond Fund C USD Accumulation IE0009UOUDD4
Guinness Global Dynamic Bond Fund C USD Distribution IE000BYGTL20
Guinness Global Dynamic Bond Fund F EUR Hedged Accumulation IE000RUU5NS2
Guinness Global Dynamic Bond Fund F EUR Hedged Distribution IE000TF9SLK9
Guinness Global Dynamic Bond Fund F GBP Hedged Accumulation IE000U6RFRB5
Guinness Global Dynamic Bond Fund F GBP Hedged Distribution IE0004EKQAB5
Guinness Global Dynamic Bond Fund F USD Accumulation IE000K7JW1F2
Guinness Global Dynamic Bond Fund F USD Distribution IE000XK5QE77
Guinness Global Dynamic Bond Fund Y EUR Hedged Accumulation IE000A6DTAL5
Guinness Global Dynamic Bond Fund Y EUR Hedged Distribution IE000ZEG6Y35
Guinness Global Dynamic Bond Fund Y GBP Hedged Accumulation IE000MOJ87C0
Guinness Global Dynamic Bond Fund Y GBP Hedged Distribution IE000TX36GA3
Guinness Global Dynamic Bond Fund Y USD Accumulation IE000PWKC9L5
Guinness Global Dynamic Bond Fund Y USD Distribution IE0005SARBE3
Guinness Global Dynamic Bond Fund Z EUR Hedged Accumulation IE000F4NJFP5
Guinness Global Dynamic Bond Fund Z EUR Hedged Distribution IE0004KL9QM1
Guinness Global Dynamic Bond Fund Z GBP Hedged Accumulation IE000RT52UT3
Guinness Global Dynamic Bond Fund Z GBP Hedged Distribution IE000XOAYF56
Guinness Global Dynamic Bond Fund Z USD Accumulation IE000PCO7TB3
Guinness Global Dynamic Bond Fund Z USD Distribution IE000B0X9672

KIDS

 

 

Fund Class ISIN English French German Spanish Italian Swedish Finnish
Guinness Global Dynamic Bond Fund Y GBP Hedged Accumulation IE000MOJ87C0
Guinness Global Dynamic Bond Fund Y GBP Hedged Distribution IE000TX36GA3
Guinness Global Dynamic Bond Fund Y USD Accumulation IE000PWKC9L5
Guinness Global Dynamic Bond Fund Y USD Distribution IE0005SARBE3
Guinness Global Dynamic Bond Fund Z EUR Hedged Accumulation IE000F4NJFP5
Guinness Global Dynamic Bond Fund Z EUR Hedged Distribution IE0004KL9QM1
Guinness Global Dynamic Bond Fund Z GBP Hedged Accumulation IE000RT52UT3
Guinness Global Dynamic Bond Fund Z GBP Hedged Distribution IE000XOAYF56
Guinness Global Dynamic Bond Fund Z USD Accumulation IE000PCO7TB3
Guinness Global Dynamic Bond Fund Z USD Distribution IE000B0X9672

Documents

 

 

Document

Fund Supplement

Investing with Guinness

Guinness Asset Management Funds plc - Prospectus

Guinness Asset Management Funds plc - Target Market Assessment

Fund Facts

For information on the Fund’s current investments, please see the latest factsheet available on the literature tab above.

 

Launch Date
Fund managers (start date)
Craig Veysey (13/07/2026)
Benchmark
N/A
IA sector
TBC
Structure
OEIC (UCITS)
Domicile
Ireland
Underlying currency
US Dollar
Pricing
Daily, forwards
Valuation
1200 Dublin time
Deal cut off time
1100 Dublin time
Administrator
Waystone Administration Solutions (IE) Limited
Custodian
Brown Brothers Harriman
UK Reporting Fund status
Yes
ISA Eligible
Yes

Introductory Share Class available

For more information please see the supplement

F Class

 

Share Classes

For full information on the share classes available for investment please refer to the Key Investor Information document.

 

Class OCF Max Initial Charge Min Investment ISIN SEDOL Bloomberg
F USD Acc 0.30% 0% 0 IE000K7JW1F2 BT5HHY1 GAMFGDF ID
F GBP Hedged Dist 0.33% 0% 0 IE0004EKQAB5 BT5HHZ2 GDBFFGH ID
F GBP Hedged Acc 0.33% 0% 0 IE000U6RFRB5 BT5HJ01 GDBFGHA ID
Z EUR Hedged Dist 0.53% 0% 100000000 IE0004KL9QM1 BT5HJ12 GDBFZED ID
Z EUR Hedged Acc 0.53% 0% 100000000 IE000F4NJFP5 BT5HJ23 GDBFZEH ID
Z USD Dist 0.50% 0% 100000000 IE000B0X9672 BT5HJ34 GDBFZUD ID
Z USD Acc 0.50% 0% 100000000 IE000PCO7TB3 BT5HJ45 GNDBZUA ID
Z GBP Hedged Dist 0.53% 0% 100000000 IE000XOAYF56 BT5HJ56 GAMFGDZ ID
Z GBP Hedged Acc 0.53% 0% 100000000 IE000RT52UT3 BT5HJ67 GDBFZGH ID

Fund Prices

The Fund is priced every working day at 12.00 Dublin time and updated here the following day.