The strategy’s key competitive advantages are:
1. Highly experienced, corporate bond specialist team with three co-fund managers who have a combined investment experience of 60+ years, supported by a team of analysts and strong dealing
2. Clear focus on and track record of minimising default risk while maximising total returns
3. Fundamental credit analysis expertise and experience to benefit from the growing diversity in companies’ capital structures
4. Freedom and flexibility to pursue opportunities in under-researched, income-generative segments of
the USD, EUR and GBP corporate bond markets.