We view convertible bonds as a less risky alternative to equity investments. Over the long term, they perform similarly to equities, but with much less volatility.
Convertible bonds offer the best of both worlds, combining the benefits of equities and bonds. They are an ideal portfolio diversifier, especially in weak markets.
Fisch Asset Management has 25 years of experience in managing convertible bond portfolios. With one of the world’s largest specialist teams, we are able to pool our knowledge, allowing us to cover the entire convertible bond universe.
Further information to timing and risk premiums of convertible bonds here.
Further information to the structure and risks of convertible bonds here.