Our European multi-strategy credit programmes aim to achieve long-term capital growth by combining private market exposure with more liquid asset classes. These strategies are designed to be more long-term in nature and have a fixed life. They can include investments into asset classes such as private debt, syndicated loans and high yield bonds. We believe the innovative combination of these types of instruments into a single portfolio can offer investors protection from volatility and the potential to achieve higher returns than those commonly available in target date strategies.
Nothing contained herein is intended to constitute investment, legal, tax, accounting or other advice. Past performance is not an indication of future performance. Diversification does not assure a profit or protect against loss. Investment process and objectives are subject to change.