This strategy offers attractive yield potential through unconstrained asset allocation, high-conviction security selection, and volatility management.
Our high yield capabilities invest across the capital structure, with a bias toward larger, more-liquid global issuers. We offer expertise in multiple high yield asset classes, including traditional, global, short duration, and opportunistic, as well as bank loans. This expertise, combined with disciplined risk management, provides you with investment solutions that can offer reliable return potential.
Also known as leveraged loans, bank loans are the most senior part of a company’s capital structure, and offer you the most investment protection . This strategy invests in bank loans that are typically secured and have a floating rate structure—which can be particularly appealing when interest rates are trending up.
This strategy invests in high yield corporate bonds of primarily U.S. and European companies, with a focus on income and capital appreciation coming mostly from security selection.
This strategy invests in high yield corporate bonds with a credit rating of CCC or higher. Investments are made primarily in U.S.-based companies, with a focus on income and capital appreciation coming mostly from security selection.
This strategy invests in short duration high yield bonds. Less sensitive to market volatility, these types of bonds may offer strong levels of high current income, with limited exposure to interest-rate and credit-spread risk.