Fixed Income

Mirova offers extensive expertise in fixed income, covering a large spectrum of investment strategies. Our solutions aim to generate strong financial performance and to navigate various market configurations, all while incorporating high ESG1 standards. Through an innovative approach and in-depth credit analysis, our fund range is designed for the specific needs of clients across Europe, North America, and the Asia-Pacific region.

Key Figures

7.5
billion euros

assets under management invested in fixed income strategies bonds

11
Experts

portfolio managers & credit analysts

+20
Impact & ESG Analysts

 including 2 dedicated to fixed income

Source: Mirova & affiliates au 31 December 2025

A Wide Range of Actively Managed Fixed Income Strategies 

Aggregate Solutions

Addressing different investment horizons, our actively managed Aggregate strategies offer diversified exposure across global and eurozone markets, with a significant allocation to green and sustainable bonds.

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Global Green Bond

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Euro Green & Sustainable

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Euro Short Term Sustainable

Credit Solutions

Our Credit strategies capture opportunities across the entire corporate bond landscape by selecting companies essential to the transition, from established Investment Grade leaders to dynamic High Yield issuers.

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Global Sustainable Credit

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Euro Corporate Sustainable

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Euro High Yield Sustainable

What Makes our Expertise Different 

A Recognized and Long-Standing Player

Mirova manages its bond strategies with the support of a team of experts with an average of over 20 years of experience. A key strength of this team is its fully integrated structure, where dedicated ESG analysts work closely with portfolio managers and credit analysts, ensuring that sustainability is central to every investment decision.

This structure allows us to apply a rigorous selection process which, combined with our forecasts on the yield curve and key risk factors, aims to generate long-term value while contributing to a more sustainable economy.

A Pioneer of Investing in Green and Social Bonds

As pioneers in this market for more than 10 years, we firmly believe in the value of debt instruments dedicated to impact-driven projects, offering traceability, transparency, and comprehensive reporting on the financed initiatives. 

Our experts have supported the development of the green bond market by actively participating in the main market institutions, as well as by internally developing a stringent methodology for analysing  these instruments and creating one of the first strategies dedicated to green and social bonds.

B(ey)ond Green

Discover our quarterly publication dedicated to trends and opportunities in the bond markets.

Discover
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A Continuous Drive for Innovation 

Our client-centric approach drives our commitment to innovation. To stay ahead of the curve, we continuously evolve our products and methodologies by forging partnerships with leading data experts and leveraging new technologies. This allows us to enhance our investment solutions and precisely measure their impact, ensuring we can deliver high-quality solutions that bring tangible value to our clients.

All investments are subject to risks, including the risk of capital loss, sustainability risk, and liquidity risk. Please refer to the fund prospectus and the key investor information document before making any final investment decision.
[1] Environmental, Social, Governance
Latest news
From the Paris Agreement to COP30: From Moral Momentum to Strategic Imperative
From the Paris Agreement to COP30: From Moral Momentum to Strategic Imperative
Published on 12/17/2025

Ten years after the Paris Agreement, COP30[1] in Belém unfolded against a backdrop of shifting global dynamics, where climate issues are increasingly intertwined with strategic, industrial, and sovereignty considerations. While the final text does not resolve all uncertainties, it confirms a clear trajectory: climate finance is entering a phase of maturity, one that demands greater credibility, transparency, and measurable outcomes. For Mirova, this 30th edition highlighted both the growing influence of actors from the Global South and the emergence of more robust financial tools capable of mobilizing private capital at the scale required.

Learn more