Muzinich offers a range of corporate credit investment strategies designed to satisfy today’s institutional requirements for performance, risk control, liquidity and transparency.
Each investment strategy targets income generation and long term capital appreciation with limited volatility. Strategies can be tailored to meet specific client investment objectives, risk guidelines, and legal constraints.
For example, we structure products across a wide variety of jurisdictions and in multiple currencies, hedged to mitigate currency risk. We create portfolios with individualized ratings and duration guidelines, geographic mixes, and socially-responsible screens.
All our investment strategies are available as separate accounts or in fund format.