This strategy opportunistically invests in investment grade credit and across “plus” fixed income sectors. The goal is to deliver high yield-like returns with volatility at level typically associated with investment grade credit.
Our opportunistic capabilities incorporate investment grade credit into their strategies, in addition to satellite fixed income sectors including high yield bonds and loans, securitized debt, and emerging market debt. Our capabilities offer you portfolios focused on yield and total return while managing risk.
Global Credit Alpha is a high-conviction strategy that opportunistically invests across all fixed income sectors, with assets primarily held in high yield bonds, and with alpha generated through issuer selection and sector rotation.
This strategy opportunistically invests across the capital structure of investment grade-rated companies to build concentrated portfolios, holding fewer issuers than a traditional investment-grade corporate portfolio.