This strategy is actively managed against a market benchmark and seeks to identify fundamental value in European corporate and asset-backed bonds.
We have a long track record in delivering repeatable investment returns based on a consistent investment philosophy, style and process.
Our investment approach seeks to identify mispriced securities through a comparison of relative and absolute value. We have a strong focus on credit research and analysis while minimising currency, interest rate, and other macroeconomic risks.
European investment grade credit provides exposure to highly rated issuers with returns typically in excess of government bonds.
This strategy offers the potential for stable returns and steady income with low credit risk from a highly diversified market.