High Yield

Global Multi Credit

Our global high yield multi-asset credit strategy can simplify an investor’s approach to return seeking fixed income with a strategic investment to high yield credit markets that is focused on pursuing high current income and compelling long-term absolute and risk-adjusted performance.

AUM

$ 5.08 billion as of June 30, 2024

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, globally integrated investment teams dedicated to investing across high yield credit markets

  • Established long-term track records across U.S., European and Global high yield investment strategies with each based upon the same team-based, fundamental approach that has been consistently applied across multiple credit cycles
  • In-depth, bottom-up credit analysis implemented by a deeply resourced research team provides coverage up and down the capital structure as well as across industries and geographies
  • Longstanding relationships with trading counterparties, management teams and sponsors that have been developed through decades investing across high yield credit markets
  • Active portfolio management focused on principal preservation, while also seeking to position portfolios to capture long-term value creation through best ideas

Portfolio Managers

Related Viewpoints