It has been 30 years since Muzinich & Co first allocated to the then nascent US high yield market. Since then, the Firm has expanded to cover almost every asset class across the corporate credit spectrum. We continue to develop our investment capabilities to meet the needs of investors, and to help preserve and grow their assets. Risk-adjusted returns remain a key focus, as credit markets experience renewed volatility and dislocation. We have asked six of our portfolio managers to comment on past and current challenges, and to share their thoughts on what to expect next. Please click here to read the piece.
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