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The Fund's objective is to achieve returns in excess of 3-month EURIBOR, primarily by investing in senior secured loans and other senior debt obligations issued by corporate borrowers rated below investment grade. We target relatively liquid investments domiciled in Europe and the United States.
For share class information, please contact marketing@bluebay.com
Senior secured loans offer what we view as compelling relative value on an absolute and risk-adjusted basis:
Loans offer attractive current income with lower price volatility
As floating rate instruments, loans offer future upside as rates rise
Loans benefit from contractual covenants which seek to control cash flows and protect the interests of creditors
Loans have higher levels of security when compared to other fixed income instruments, leading to higher recovery rates in the event of default


Sid è Head of European High Yield, Securitized Credit and CLO Management e Senior Portfolio Manager di BlueBay. Sid è entrato a far parte di BlueBay Asset Management (che oggi fa parte di RBC Global Asset Management) nel giugno 2018; vanta oltre 19 anni di esperienza nel settore del credito, del credito cartolarizzato e dei CLO, essendosi occupato di mercati del credito cartolarizzato fin dalle prime fasi di emissione. Di recente è stato Managing Director responsabile del credito cartolarizzato e dei CLO nella sede di Londra di Anchorage Capital Europe, società di gestione di investimenti alternativi da 15 miliardi di dollari. Prima di Anchorage, Sid ha fatto parte del Securitized Credit/CDO Group, EMEA, presso JPMorgan, dove si è occupato di origination, strutturazione e investimento in prodotti di credito cartolarizzati. Sid ha conseguito una laurea in tecnologia presso l'Indian Institute of Technology, Madras (IITM) e una laurea magistrale presso la London School of Economics.

Ash is a BlueBay Portfolio Manager and has responsibility for co-managing the Buy and Maintain High Yield and European Loan strategies. Ash joined BlueBay Asset Management (which is now part of RBC Global Asset Management) in November 2003 as an operations analyst and the Global Leveraged Finance team in January 2005. He has been instrumental in driving the success of the Global Leveraged Finance Group and Securitized Credit business and has deep understanding of front to back issues impacting leveraged finance investing. Prior to BlueBay he worked at Goldman Sachs in the Equity Middle Office and holds a BSc (Hons) degree in Sport Science from Kingston University.

Tim joined BlueBay Asset Management (which is now part of RBC Global Asset Management) in February 2007 as a Trader within the Global Leveraged Finance Group. Prior to BlueBay, Tim worked at Deutsche Bank in trade support on the propriety trading desk. Tim holds a BA of Commerce from the University of Sydney and is a CFA charterholder.