In a fast-moving world, reacting swiftly to evolving conditions can enhance investors’ returns. Multi-Asset Credit provides the flexibility to be able to capture returns in attractive conditions, while seeking to provide downside protection when markets turn. We believe this investment management strategy represents an attractive asset allocation risk/return profile. Our expertise across the fixed income spectrum and diverse investment styles means that we can harness ideas across a broad spectrum of credit assets – from investment grade, high yield, emerging markets, and beyond.
Casting a wide net in fixed income
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