For institutional investors in Norway

Global High Yield

Aiming to access the total return potential of high yield bonds through a portfolio of diversified issuers, sectors and geography

Overview

ABOUT THIS STRATEGY

A global high yield strategy that actively seeks to generate competitive risk-adjusted returns, principally through strong security selection combined with a focus on top-down beta management. The strategy adopts a research-first mentality on both macro and security selection risks.

The value of an investment and the income from it can fall as well as rise as a result of market and currency fluctuations and you may not get back the amount originally invested. Past performance does not predict future returns.

Glossary

Investment Approach

Repeatable, active approach

  • Active management of beta and portfolio composition focused on taking the right amount of risk throughout the cycle.
  • Categorisation of risk and return characteristics of each security in portfolios.

Research driven

  • Analysts cover issuers across the full capital structure and are ESG considered, ensuring a complete picture of fundamentals.
  • Co-ownership of risk exists between portfolio managers and our analysts.

Globally aligned

  • One team across two investment centres with co-portfolio managers in London and Denver.
  • Integrated global research team, pursuing the best risk-adjusted return opportunities irrespective of issuer domicile.

Robust risk management

  • Minimise downside risk and emotional bias through a stop-loss process.
  • Utilisation of off benchmark sectors to diversify risk across sectors, quality, capital structure, and economic sensitivity.
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Featured Insight

Fixed Income Perspectives

Quarterly insight from our fixed income teams to help clients navigate the risks and opportunities ahead.

PORTFOLIO MANAGEMENT

Seth Meyer, CFA

Portfolio Manager

Industry since 1998. Joined Firm in 2004.

Tom Ross, CFA

Portfolio Manager

Industry since 2002. Joined Firm in 2002.

Tim Winstone, CFA

Portfolio Manager

Industry since 2003. Joined Firm in 2015.

Brent Olson

Portfolio Manager | Credit Analyst

Industry since 1997. Joined Firm in 2017.