High Yield

Global Multi Credit

Our global high yield multi-asset strategy can simplify an investor’s approach to high yield allocations as well as offering a more attractive risk-return profile than a single-asset class strategy.

AUM

$ 4.65 billion as of December 31, 2022

Inception Date

2012

Vehicle Types

QIAIF
QIF
Separate Account

Investment Philosophy

We believe attractive, long-term, risk-adjusted returns can best be achieved through a combination of:

  • Strong fundamental credit underwriting, with the primary focus on principal preservation
  • Active portfolio management to capture the best relative value and identify opportunities for capital appreciation

Our Value Add

One of the industry’s largest global high yield teams with over 90 investment professionals dedicated to high yield credit

  • Long-term track record managing both U.S. and European credit
  • Rigorous, on-the-ground approach to managing credit through company visits and regular participation on management calls
  • In-depth, bottom-up credit analysis provides unparalleled coverage up and down the capital structure, across industries and geographies
  • Active portfolio management captures our best ideas while managing risk and optimizing relative value
  • Integrated loan and bond high yield research and portfolio management

Portfolio Managers

FIXED INCOME

ESG in Fixed Income

The Intent Beyond the Income

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