Investment Strategies
Credit
High conviction equity strategies with a clear purpose
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Euro Credit
Our credit investment strategies adopt an active sustainable investment and risk management approach which we refer to as “alpha-by-control”: designed to secure attractive yields for investors, a lower carbon footprint as well as create and preserve additional value by capitalising on credit market inefficiencies and mispricings.
Opportunities Bond
The Fund aims to achieve long-term capital growth by investing in a broad and flexible range of fixed income opportunities. The Fund invests across the corporate bond spectrum – from investment grade to high yield and non-rated bonds – and may also allocate to other types of fixed income instruments, depending on where we identify the most attractive opportunities.
Natural Capital 3.0
Discover how regenerative farmland investing is evolving, and how land quality, governance and real assets can support long‑term value creation.