We offer a broad range of short-term and enhanced bond strategies covering a range of currencies, risk levels and durations to meet our clients' specific operating and strategic cash management needs. We have developed short-term liquidity solutions for institutional and professional investors, including separately managed account.
Convertibles
We provide tailored investment solutions designed to leverage the unique characteristics and asymmetry of convertible bonds. These instruments have historically captured a significant portion of the upside potential of underlying equities while offering stability and resilience during market drawdowns. As a valuable source of risk diversification, convertible bonds are an excellent addition to multi-asset-class portfolios.
Key benefits:
Enhanced Risk-Adjusted Returns: Leverages advanced strategies to optimize performance, while maintaining a balanced risk profile.
Diversification: Minimizes concentration risk across asset classes, ensuring portfolio resilience and stability.
Active Risk Management: Employs systematic and disciplined risk control to protect against market fluctuations and external shocks.
Tailored Solutions: Customizable strategies aligned with client goals, offering flexibility to adapt to changing market conditions.
Collateral Portfolio
Our passive collateral portfolio management approach focuses on achieving optimal stability and performance. By emphasizing diversification, we minimize concentration risk and volatility, to ensure enhanced, risk-adjusted returns. The strategy is designed to provide a solid foundation for the long-term resilience and performance of the portfolio.
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