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We offer a variety of investment strategies providing exposure to the global leveraged finance markets.
Our research-driven, fundamental approach to security selection emphasises capital preservation with a focus on downside mitigation.
In our view, the avoidance of corporate decline – and ultimately defaults – is essential to ensuring we achieve our goal of compelling, risk-adjusted returns throughout the credit cycle.
Since 2002, we have developed a broad spectrum of long only strategies with varying liquidity profiles. Our expertise and long-standing track record across leveraged finance covers high yield bonds and syndicated loans.
Our detailed bottom-up credit analysis into which ESG assessment is fully integrated is overlaid with policy and political inputs informed by our macro specialists and complemented by the use of proprietary technology to enhance decision making.1
“We believe our breadth of presence and market tenure facilitates unrivalled product access, while we remain small enough to ensure nimble asset allocation and execution.”
Head of US Fixed Income
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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.