Long / Short – European Credit Alpha

Our European Credit Alpha strategy aims to generate in our opinion attractive returns across varied market conditions, with a focus on European High Yield investments, as well as using an array of hedging tools to help provide downside mitigation. We believe a dynamic strategy that combines long and short positions across a broad investment universe offers the potential for positive alpha generation. The goal of the strategy is to capture the upside of the European High Yield market but with enhanced downside protection.

This long/short, total-return credit strategy focuses on investments across European credit markets seeking to make strong conviction trades. The strategy is based around three main portfolios: Core Long, Arbitrage and Overlay. The strategy has the ability to use a diverse range of instruments including cash instruments (bullet or callable bonds), floating and fixed- rate instruments, senior, subordinated and hybrid debt, loans and derivatives.

Capital en riesgo. El valor de las inversiones y los ingresos derivados de ellas pueden tanto bajar como subir y no está garantizado.  Es posible que los inversores no recuperen la totalidad del importe invertido. La rentabilidad pasada no es indicativa de la rentabilidad actual o futura.

Inicio de la Estrategia

2017

Ubicación de los Gestores

London