Multi-Asset Credit

Assets Managed EUR 3.1bn (Jun.2024)

Multi-Asset Credit

Assets Managed EUR 3.1bn (Jun.2024)
Multi-Asset Credit

Diversifying Opportunities with Multi-Asset Credit Strategies

Leveraging a broad spectrum of credit markets, our Multi-Asset Credit strategy offers a dynamic and diversified approach to optimize investor returns.

Multi-Asset Credit involves investing across a diverse range of credit instruments, including high yield bonds, leveraged loans, and structured credit. This strategy aims to capitalize on opportunities across different credit types, geographies, and sectors. By incorporating the best ideas from various credit markets, we enhance diversification and optimize returns through dynamic asset allocation based on market conditions and relative value assessments.

With EUR 3.1 billion in assets managed as of June 2024, our approach combines high yield, senior loans, and structured credit with a strong analytical focus on relative value and bottom-up security selection. We offer liquidity options ranging from daily to quarterly, with investment opportunities available in both fund formats and bespoke Separately Managed Accounts (SMA).

  • Assets Managed EUR 3.1bn (Jun.2024)
  • Combining high yield, senior loans, and structured credit
  • Analytical focus on relative value in addition to bottom-up security selection
  • From daily to quarterly liquidity
  • Available in fund and bespoke Separately Managed Account (SMA) format

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