Our Diversified Credit strategy is managed by our fixed income Investment Strategy Group (ISG) and provides clients with exposure to a diversified portfolio of global credit opportunities.
The strategy draws heavily on our global fixed income platform and invests across a diverse range of global fixed and floating rate credit assets. It is not tied to a particular bond index, which gives the managers freedom to aim to construct a portfolio which maximises risk adjusted returns..
Flexibility to invest in the full breadth of credit opportunities across the rating spectrum, including non-traditional sectors such as secured loans, asset backed securities and emerging market bonds
Fundamental, bottom-up approach to credit with emphasis on in-depth research
Employs a disciplined risk budgeting approachl
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