Multi-Asset Credit – Dynamic Credit Income

An actively managed multi-asset credit solution for all market environments focused on yield and upside capture, with a built-in income component.

The strategy seeks to maintain a high level of portfolio yield throughout the cycle, with the flexibility to search and allocate to opportunities presented by dislocated markets.

The strategy looks to boost performance during a market recovery phase by increasing the high-yield allocation, but with the flexibility to increase its allocation to investment-grade bonds during periods of macroeconomic uncertainty.

Capital en riesgo. El valor de las inversiones y los ingresos derivados de ellas pueden tanto bajar como subir y no está garantizado.  Es posible que los inversores no recuperen la totalidad del importe invertido. La rentabilidad pasada no es indicativa de la rentabilidad actual o futura.

Inicio de la Estrategia

2022

Ubicación de los Gestores

New York, London