General Information

Multi Credit / Asset Allocation

Investment Philosophy 

  • Dynamic rotation across all fixed income asset classes primarily for yield enhancement and diversification purposes
  • Fixed income top-down asset allocation combined with deep value bond selection
  • Non-benchmark oriented investment philosophy and high degree of flexibility

Capabilities and Solutions

  • Fixed Income asset allocation expertise with a strong focus on credit sector allocation (a.o. EM, HY, Corporate, Sovereign)
  • Professional and active management of various multi-credit funds and single credit sector solutions on a customized basis
  • Portfolio and single obligor risk management expertise across various markets and quality spectrum

Secondary Content

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