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Aims to outperform the sector and peer group through active management of mainly sterling denominated corporate bonds. Typical of Resolution's investment process, the fund is managed by a team using both top-down economic analysis and bottom-up bond selection, with no one style dominating. Additionally, the team is reactive to supply/demand factors driving the market, incorporating these into the portfolio.
The selection of individual issues is rigorous, with the managers looking to be convinced that a company can meet its future coupon payments. This is assessed through analysis of cost of capital and management, who should have a consistent approach to business strategy.