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The BlueBay Financial Capital Bond Fund is designed to invest in subordinated debt securities issued by financial institutions, combined with environmental, social and governance (ESG) criteria.1
The Fund does not reference any benchmark.
This product is only available to qualified Institutional Investors and/or investors who are:
(a) an informed investor who has an average knowledge of relevant financial products (an informed investor can make an informed investment decision based on the regulated and authorised offering documentation, together with knowledge and understanding of the specific factors/risks highlighted within them only); or has some financial industry experience; or
(b) an advanced investor who has a good knowledge of relevant financial products and transactions; or has financial industry experience; or is accompanied by professional investment advice; or is included in a discretionary portfolio service
This is a marketing communication. There are several risks associated with investing in this product. Please refer to the prospectus of the fund and to the KIID available on this website before making any final investment decisions.
1. Certain investment strategies, asset classes, exposure and security types do not integrate ESG factors, including but not limited to money market, buy-and maintain, passive, and certain third-party sub-advised strategies or certain currency or derivative instruments. Different strategies that integrate ESG factors will be at varying stages of implementation. Please read a fund's prospectus or offering memorandum for further details.
Security selection is key to performance and capital preservation focus is essential
Research seeks to integrate macro, regulatory and political research with more traditional balance sheet analysis
Disciplined risk management at every stage of investment process




Marc is a managing director and senior portfolio manager on the BlueBay Fixed Income team, focussing on Investment Grade (IG) non-sovereign debt, specialising in financials. Marc started in his current role in 2011 as a lead portfolio manager. He has been instrumental in driving the success of the European IG credit strategies as well as the peer-leading performance of the Financial Capital Bond Fund. Marc joined the firm in 2004 as an operations analyst before joining the investment grade team in 2006 as a trader. Prior to joining the firm, Marc spent two years at CSFB focussing on credit derivatives. He started his career in the investment industry in 2002.

James is a managing director and senior portfolio manager on the BlueBay Fixed Income team, focussing on Global Leveraged Finance and Investment Grade. He joined the firm in 2007 as a financials analyst within the Investment Grade team. His experience and knowledge of the European banking sector has been widely utilised within the firm by both the Investment Grade and High Yield teams. He was instrumental in the successful launch of the BlueBay Financial Capital Bond Fund in January 2015 and has made a significant contribution to its peer group-leading performance since inception. Prior to joining the firm, James spent three years with PricewaterhouseCoopers as an assurance and advisory executive covering financial institutions. He is a qualified chartered accountant and holds an MA (Hons) degree from the University of Edinburgh. James is a CFA charterholder.