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Strategy Overview 

Driven by the fundamental research of one of the industry’s largest and most experienced corporate credit research teams, the strategy provides a pure focus on high yield corporate bonds in an effort to generate attractive risk-adjusted and total returns while earning a high level of income. 

Key Features

Experience

Strategy gains access to one of the industry’s largest and most experienced dedicated corporate credit research teams, which forms the core of the bottom-up investment process.

A Long-Term, Opportunistic Approach

The strategy follows a 3-5 year investment horizon, which we believe differentiates it from many peers and also supports a contrarian perspective. This long-term approach is also supplemented by opportunistic positioning as we look to add value across all credit environments. 

Vast Investment Resources

The strategy and its investors also benefit from a deep pool of additional resources, highlighted by, but not limited to, its Active Quant overlay and a robust risk management process.  

Contact us to learn about our investment capabilities