Lazard Sustainable Credit 2025 is a fixed income fund that focuses on a diverse range of corporate bonds, including both investment-grade and high-yield bonds, as well as bonds issued by financial institutions. The portfolio consists of euro, US dollar, and pound sterling-denominated securities from companies and financial institutions based in OECD member countries or listed on their stock exchanges. By actively managing these debt investments, the fund seeks to achieve a gross yield between 2.2% and 2.7%, aiming for stable returns through a carefully selected mix of fixed income instruments.