Our long-only strategies, comprising approximately $24 billion of assets under management as of September 30, 2015, offer solutions for traditional fixed income investors seeking to outperform the corresponding performing bank loan or high yield market indices.
Our strategies include:
• Leveraged Loans: For non-investment grade bank loans, our focus is on principal preservation and investing in asset-rich, cash-flow positive companies that are active issuers in both the primary and secondary markets.
• High Yield Bonds: We manage high yield bond portfolios and other vehicles that include high yield allocations.
• Dynamic Credit: We have the ability to tactically allocate across global bank loans, high yield bonds, CLO investments and middle market credit, seeking to capture relative value through market cycles.