XXXXX | European High Yield Bond Fund
Why Invest
Seeks to provide attractive income and risk-adjusted total returns by investing in European high yield securities
Disciplined, Repeatable and Proactive Investment Process
Alpha generated primarily through bottom up credit research to seek the best ideas within European High Yield managed by one of the largest dedicated non-investment grade credit research teams
Aims for Outperformance in Both Up and Down Markets
Targets returns both in up and down markets with the aim of producing a steady income profile through the market cycles for investors
Utilises Three Key Sources of Value Generation
Avoidance of credit deterioration, industry and quality rotation and relative value analysis
Fund Facts
Performance & Exposures
Returns & Distributions
Stewardship & Sustainability
Portfolio Management Team
Documents
Fund Literature - 30 documents
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