Our High Yield capabilities are led by the U.S.-based fixed income team with shared intelligence and risk management of our global fixed income team in London.
Our U.S. presence and extensive networks combined with global access to research help us uncover compelling opportunities. The team focuses on attractive U.S. investments and opportunistic, high conviction global allocations.
Through a research-driven, fundamental approach to security selection, we emphasize capital preservation and downside mitigation. In our view, the avoidance of corporate decline - and ultimately defaults - is critical to achieving compelling, risk-adjusted returns throughout the credit cycle.