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Credits Investing

Exploit market inefficiency and avoid losses

High Yield

Our investment process for high yield bonds is based on a top-down analysis of the global high yield markets, combined with thorough bottom-up issuer analysis. The process is skewed towards identifying and assessing credit risks to avoid portfolio losses. Analysis of sustainability information (ESG) is an integrated part of our fundamental analysis. Our proprietary state-of-the-art risk management tools ensure in-depth risk monitoring. This is a proven strategy that has resulted in attractive and stable returns over time.

The main strategies we offer within High Yield bonds, with a fundamental research investment approach, are:
  • Global High Yield Bonds
    Distinctive with high quality bias and conservative long term approach to high yield investing, launched in 1998
  • European High Yield Bonds
    Diversified exposure to European High Yield bonds, launched in 2005
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