XXXXX | High Quality Global Senior Floating Rate Income Fund

Why Invest

Targets a stable level of income generation whilst seeking to preserve investors’ capital. The fund’s managers seek to achieve this by investing primarily in a portfolio of North American, European Union and United Kingdom high quality senior secured floating rate loans which are primarily below investment grade, and the portfolio will be diversified by both industry and borrower

Attractive Yield with Potential Diversification Benefits

Offering attractive yield potential with limited duration. The floating-rate, secured nature of senior loans may provide diversification benefits relative to traditional equity and fixed income securities

Sustainable Income Generation with a Focus on Capital Risk Management1

Through investments primarily in a portfolio of high quality senior secured floating rate loans with a minimum investable rating of B3/B-. The fund has no currency allocation limits

Active Investment Approach Based on Robust Proprietary Tools and Fundamental Analysis

A disciplined and repeatable credit selection process with input from a large credit team analysing opportunities across the capital structure

Stable and Deeply Experienced Team

Experienced and stable investment team with the lead portfolio managers averaging over 20 years of industry experience

*There can be no assurance that the fund will achieve its investment objective

Fund Facts

Performance & Exposures

Returns & Distributions

Stewardship & Sustainability

Portfolio Management Team

Documents

Fund Literature - 10 documents

Fund Literature Documents Listing and Download
Document NameLanguageDateDownload
EnglishSeptember 2025
GermanAugust 2026
EnglishJuly 2026
EnglishJuly 2026
EnglishJuly 2026
EnglishDecember 2024
GermanFebruary 2023
EnglishJuly 2026
EnglishAugust 2026
EnglishSeptember 2026