Seeking diversification1 through the full credit spectrum
Our Plus Sector funds provide fixed income investors with a wider range of tools to navigate volatile markets. In a world of heightened uncertainty, flexibility may be a critical advantage.
By incorporating Plus Sectors, investors can supplement core fixed income portfolio allocations with additional and diversified sources of return. Our approach is rooted in thoughtful product design, leveraging our nimble size and deep credit experience to act tactically and opportunistically where we see potential sources of alpha2.
The result is high-conviction portfolios with lower correlation to traditional fixed income markets. Consistent with BlueBay’s broader focus on capital preservation, our high yield offerings prioritize quality and liquidity, supported by rigorous fundamental research.
The information provided is to illustrate the investment process. It is not a recommendation of any security or other financial instrument.