BlueBay Securitized Credit specialists see opportunities in the securitized credit market across the capital structure, in both senior and mezzanine/equity tranches, across different collateral types and in both US and Europe. We adopt a catalyst-based, value-driven investment approach across their strategies, and has expertise in both the structural complexities of asset-backed securities and across a range of collateral types; including residential/commercial mortgages, credit cards and leveraged loans.
- Investment capabilities
- Alternatives
- Securitized Credit
Securitized Credit
Strategies
Connect with our team to learn more
Featured Tiles
Inside the markets: U.S. Fixed Income
Current PerspectivesAndrzej Skiba, Head of BlueBay U.S. Fixed Income, joins Mindy Gudmundson to discuss how the team is actively navigating a turbulent 2025 market. From stress testing portfolios to seizing opportunities in market dislocations, Andrzej highlights how nimble positioning and robust internal dialogue are helping drive performance in uncertain times.
Jun 26, 2025
24 minutes, 47 seconds to watch
Why invest in emerging markets?
InsightsThe growing opportunity in emerging market is driven by global growth, improving fundamentals, a multitude of distinct markets, and opportunities to add alpha.
Jun 26, 2025
1 minutes to read
Distressed investing: the rise of Liability Management Exercises
InsightsThe rise in liability management exercises can be attributed to a combination of factors, including weak credit documentation, rising debt costs, impending maturities, and the efforts of resourceful sponsors seeking to unlock equity value.
May 23, 2025
1 minutes to read
Dispelling myths concerning emerging market debt
InsightsThere are several misconceptions that exist in some investors minds, and we help put those in context.
May 21, 2025
1 minutes to read
Ways to access emerging market debt
InsightsWe introduce a framework to help investors consider the most suitable way to access EMD.
May 21, 2025
1 minutes to read
What is emerging market debt?
InsightsWe provide an overview of emerging market debt and help investors consider the practical aspects of investing in this asset class.
May 21, 2025
1 minutes to read
Can US exceptionalism persist without fiscal spending?
InsightsMalin Rosengren, Investment Grade Portfolio Manager, discusses why a slowdown in US growth risks being exacerbated by limited fiscal space and steep yield curves.
Apr 22, 2025
4 minutes to read
Rise in European restructurings
InsightsWith an ever-changing macro backdrop, we look at the outlook for stress and defaults in the European mid-market corporate space and what this means for investors.
Apr 10, 2025
1 minutes to read