As an asset management boutique, we specialise in bond strategies in which active management and a proven investment process can create superior added value. Since 2006, these strategies have actively seized the opportunities in the corporate bond market. What you as an investor can expect from us:
- First class credit research by our independent subsidiary I-CV (Independent Credit View) based on a proprietary rating model,
- Stable portfolio alpha; focus on the five independent and complementary sources of alpha: duration, credit exposure, regions/sectors, issuer assessment and relative value,
- Objective: stable returns throughout the credit cycle.