Funds and strategies

Multi-Asset Credit

Seek protection against rising interest rates and changes in the credit cycle.

CREDIT

Harnessing the power of the credit premium

EXPLORE MORE

CREDIT

Investor benefits

Multi-manager approach

A global 'best-of-breed' approach with access to multiple specialists for dynamic portfolio management.

Custom solutions

A portfolio designed to suit your risk/return parameters. Allocations can be adjusted through time as needed.

Experience

Dedicated specialists in fixed income with a strong track record in delivering risk adjusted returns.

Explore related resources








Fund factsheet

Latest performance and holdings information for the Multi-Asset Credit Fund.

Download factsheet








Brochure

The Multi-Asset Credit Fund invests in bank loans, high yield corporates, emerging market debt, and mortgage-backed securities.

Download brochure








Quarterly performance

Key product updates and commentary in response to market developments.

View performance








ESG considerations in fixed income

We aim to share some key ESG integration trends we see among the fixed income market participants.

Download paper

Ready to take the next step? We're here to help.

For questions, contact Jim:

Jim
Leggate

HEAD OF UK
INSTITUTIONAL

020 7024 6400

Request a meeting

Let us know what you'd like to discuss and we'll be happy to connect with you.

Request a meeting

Meet the team
Explore how we can partner to help meet your institutional needs.

Get acquainted

More funds and strategies

Multi-asset

Investing in a global mix of asset classes in a single investment portfolio.

Explore multi-asset

Equities

A broad range of funds, including regional and global allocations.

Explore equities

Fixed income

A range of funds, including unconstrained and multi-asset credit, which target real returns.

Explore fixed income

Alternatives

Increasingly used by institutional investors to help achieve both return and diversification goals.

Explore alternatives

 

Please refer to the prospectus of the relevant [UCITS or AIF or EuSEF or EuVECA] and/or Information document of the relevant [AIF/EuSEF/EuVECA], and (where relevant) to the [KIID/KID] before making any final investment decisions.