Multi-Asset Credit – European Multi-Strategy Solutions

Our European multi-strategy credit program aims to achieve long-term capital growth by combining private market exposure with more liquid asset classes. These strategies are designed to be more long-term in nature and have a fixed life. They can include investments into asset classes such as private debt, syndicated loans, and high yield bonds.

The innovative combination of these types of instruments into a single portfolio seeks to offer investors protection from volatility and achieve higher returns compared to commonly available in target-date strategies.

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

2019

Ubicación de los Gestores

London