- AUM $2.9 billion
(March 31, 2021)
- Inception Date 2011
- Benchmark Barclays Government Credit 1-5 Year Index
- Vehicles Available
- Separate Account
A firm-wide commitment to robust fundamental credit across asset classes is paramount. A disciplined, repeatable process focused on specific aspects of risk management has the ability to limit the potential for downside losses.
Our Value Add
- Repeatable Process: Our well-established risk management culture and framework has allowed us to outperform during challenging markets and has contributed to our established track record of delivering strong, risk-adjusted returns across a variety of market conditions.
- Idea Generation: Fueled by our firm-wide commitment to robust fundamental credit analysis across asset classes, which is delivered by our well-resourced global investment teams with a track record of generating alpha.
- Execution: Our execution strength lies in our flat organizational structure, which facilitates efficient communication of investment ideas, and our cohesive investment process. The size of the team permits a robust, bottom-up approach that generates a rich source of investment ideas across the entire ratings spectrum and credit curve.