The Edmond de Rothschild Group's Corporate Debt division comprises investment grade, high yield, convertible bonds and financial debt management. The Group is a pioneer in this market segment and brings proven knowledge and skills in risk analysis to the table. Its stock-picking reflects the strongest convictions of its analyst-managers.
The Group's credit analyses are backed by research in all the market segments and by the Equities experts. This approach allows us to develop an in-depth understanding of the issuers by integrating the maximum number of parameters.
The Edmond de Rothschild Group has always remained dedicated to financing the real economy. This is why it has played a pioneering role on the bond markets. Since 1996, it has supported the growth of European companies by financing their debt. Over this period, it has continued to innovate, providing an offering that is adapted to investors' needs. Its preferential access to the primary market is a source of exclusive opportunities.
With more than 20 years' experience in the convertible bonds market, the Group is one of the European market leaders in this asset class. The management team is comprised of 4 specialists, with an average of 12 years of experience. Each one covers a specific geographical area and enjoys exclusive access to market participants, offering excellent added value.
The Edmond de Rothschild Group's stock-picking approach is based on in-depth analysis of the fundamentals of each issuer. One of the Group's strengths brought to bear in this analysis is its ability to combine credit and equities research. The Group's teams assess the quality of the issuers above and beyond their rating alone, using a proprietary rating system.