KO 대한민국

Global High Yield Bonds

  • AUM $3.9 billion
    (31 March 2019)
  • 설정일 2010
  • 투자형태
    • UCITS
    • Separate Account
    • Mutual Fund
 

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

  • 69 dedicated high yield investment professionals allow our team to analyze more opportunities
  • Experienced in-house investment professionals in both U.S. and European markets
  • Long-term track records in managing both U.S. and European credit
  • Portfolio managers and analysts provide an on-the-ground, rigorous approach to managing credit by conducting company visits and regularly participating on management calls

In-depth, bottom-up credit analysis provides unparalleled coverage up and down the capital structure, across industries and geographies

  • Integrated loan and bond high yield research and portfolio management
  • On-the-ground resources provide local access and insight into the markets where we’re investing
  • Active portfolio management capturing our best ideas while managing risk and optimizing relative value

포트폴리오 매니저

 Sean Feeley

Sean Feeley

 Scott Roth, CFA

Scott Roth, CFA

 Chris Sawyer

Chris Sawyer

 Craig Abouchar, CFA

Craig Abouchar, CFA

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