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This fund’s investment approach represents collaboration between a Portfolio team responsible for setting the asset allocation framework for portfolio construction and an Investment team which concentrates on bottom up idea generation. These teams combine fundamental research, portfolio surveillance, idea generation and diversification to construct a credit investment process. Fundamental research includes four key fundamental factors: industry attractiveness, competitive position, management quality and financial position. The team considers both qualitative (approx. 70%) and quantitative (approx. 30%) factors in formulating the credit view, which is then discussed at Investment and Portfolio Strategy meetings, although the fund manager has the ultimate responsibility.