Multi-asset credit

Enhancing investors’ asset allocation returns

In a fast-moving world, reacting swiftly to evolving conditions can enhance investors’ returns.

Multi-asset credit provides the flexibility to be able to capture returns in attractive conditions, while seeking to provide downside protection when markets turn. We believe this investment management strategy represents an attractive asset allocation risk/return profile.

Our expertise across the fixed income spectrum and diverse investment styles mean that we can harness ideas across investment grade, global high yield, structured credit, loans, cocos, convertible bonds and emerging markets.

The overall funds are managed by RBC BlueBay’s Multi-Asset Decision Group, which comprises a team of senior investment professionals.

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“Our philosophy is to blend the best of top-down decision making with scrupulous security selection. The multi-asset credit portfolios draw on the very best strands from all the sub-asset classes within BlueBay, combining elite thinking and positioning in one portfolio.”

Blair Reid

Senior Portfolio Manager

Meet the multi asset credit team

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