Global fixed income strategies

Our bond funds provide global, broadly diversified access to all segments of the fixed income universe. Since we invest without any benchmark constraints, we can identify the most promising investment opportunities across the global bond market and invest wherever we see the most attractive risk/return profiles. Our investment style is countercyclical.

Positions in undervalued securities will be opened or increased during major corrections, and overall investment exposure will be gradually scaled back when asset valuations are high. We deliberately deviate from consensus opinions in our quest to capture the most attractive opportunities over the long term. 

This high level of flexibility and freedom allows the fund managers to respond quickly to sudden changes in the marketplace. Asset allocations, leverage ratios, duration and country, sector and currency allocations are actively managed.

The performance of individual subsegments across the wide and heterogeneous spectrum of fixed-income investments often varies considerably over time during the cycle. Thanks to our global approach and high level of flexibility, promising investments can be made regardless of the general market environment, and without forsaking portfolio-stabilizing components.

Our expertise

The award-winning StarCapital fund management team boasts decades of experience and combines that experience with internal capital market research know-how.

Team Bond Strategies

Adam Choragwicki
Adam Choragwicki, CIIA, Head Bond Funds Management
  • Since 2018 Head of Fixed Income
  • 2016 – 2018 Senior Portfoliomanager Global Bonds und Emerging Markets Debt at StarCapital AG
  • 2015 – 2016 Senior Portfolio Manager Emerging Markets Fixed Income at Helaba Invest Kapitalanlagesellschaft mbH
  • 2007 – 2015 Portfoliomanager Global Fixed Income and Emerging Markets ati DWS Investments
  • Bank management studies, diplomas: Certified Banking Specialist, Certified International Investment Analyst
Klaus Spöri
Klaus Spöri, CEFA, Senior Portfolio Manager
  • Since 2019 Senior Portfolio Manager at StarCapital AG
  • 2013 – 2018 Senior Portfoliomanager at ODDO BHF Asset Management
  • 2006 – 2013 Senior Portfoliomanager at SüdKa/LBBW Asset Management
  • 2004 – 2005 Fund manager at Löwenfinanz AG
  • Studies in banking, Certified Banking Specialist, CEFA
  • Adam Choragwicki
  • Klaus Spöri

Our investement solutions

The “Global Unconstrained” investment funds from StarCapital AG are suitable for generating an excess return vs traditional fund strategies thanks to their flexible investment approach. By making use of the full range of asset class sub-segments within the fixed income universe (besides classic government and corporate bonds, investments can also be made in high-yield bonds and bonds denominated in foreign currencies), the fund operates with a stable, well balanced portfolio, diversified across a wide range of weakly correlated income streams.

Product Date ISIN NO. NAV YTD 1YR 3YR Factsheet

StarCapital Dynamic Bonds

> A-EUR 16.06.2021 LU0137341789 141.17 0.69% 5.23% 6.62%
  • DE

    • DE
> I-EUR 16.06.2021 LU0340783603 1,585.94 0.87% 5.64% 7.88%
  • DE

    • DE
> I-CHF 16.06.2021 LU1603432060 127.09 0.78% 5.39% 6.42%
  • DE

    • DE

Show all share classes

StarCapital Bondvalue UI

> A-EUR 16.06.2021 DE0009781872 66.61 -0.89% 2.21% 1.63%
  • DE

    • DE
> I-EUR 16.06.2021 DE000A1111E3 974.70 -0.53% 2.79% 3.01%
  • DE

    • DE

Show all share classes


Markets & Opinions / 14.07.2017

Lesen Sie den Newsletter StarInvest vom Juli 2017.

Markets & Opinions / 20.06.2017

Lesen Sie den Newsletter StarInvest vom Juni 2017.

Products & Services / 02.06.2017

Buy-Rating von Fonds Consult Research für flexiblen Rentenfonds StarCapital Argos bestätigt.

StarCapital / 14.02.2017

Lesen Sie den Newsletter StarInvest vom Februar 2017.

StarCapital / 11.01.2017

Lesen Sie den Newsletter StarInvest vom Januar 2017.