How can an unconstrained approach to credit provide an attractive risk/ return profile with less volatility?
Join Muzinich’s Head of Public Markets, Mike McEachern, as he discusses the benefits of a multi-asset approach to credit investing and how an active manager can capitalise on the increase in return dispersion across credit.
Private debt can offer investors the ability to mitigate credit risk as well as the potential for higher yields vs public markets. Join Kirsten Bode and Mark O’Keeffe as they discuss the opportunity set in the private lending market and why they believe now is a good time to consider an allocation.
Christina Bastin, Portfolio Manager of the Muzinich Asia Credit strategies will provide an update on China, current market conditions and where she sees the investment opportunities, followed by a Q&A.
Portfolio Managers, Warren Hyland & Thomas Samson will start by providing an update on the Global High Yield market and where the current opportunities lie followed by an update on the Muzinich Global High Yield Fund performance and outlook.
Warren Hyland, Portfolio Manager of the Muzinich Emerging Markets strategies will start with an update on the Emerging Market landscape and where he sees the current opportunities, followed by an update on the Fund's positioning, performance and outlook.
Please join us for a webinar with Portfolio Manager Clint Comeaux as he provides a summary of his thoughts on the US High Yield Market. After a brief recap of the market environment in 2015, Clint will discuss the opportunities which present themselves to investors going forward.