High yield credit, financial debt and government bonds offer many opportunities but investors can find them difficult to grasp due to their specifics, their diversity and the numerous factors involved.
The recent surge in volatility on these markets has added a layer of uncertainty that needs to be managed.
The Edmond de Rothschild Bond Allocation fund offers a comprehensive approach to these markets. Investors benefit from various sources of performance by delegating asset allocation choices, bond picking and management of interest rate sensitivity to investment professionals.
- Active and flexible allocation across the bond market’s various segments
- A broad choice of bond asset classes and strategies
- Active management of sensitivity within a [-2+8] spread
- The combined know-how of all of Edmond de Rothschild Asset Management’s bond experts
- The fund is subject to capital loss risk