EUR Multi-Sector Credit

The WFAM Credit Europe team has managed EUR Multi-Sector Credit strategies since 1999 and actively allocates across the entire cash and derivative fixed-income spectrum from governments to corporates and financials, from high yield to emerging markets, and from asset-backed securities to bank loans, which gives access to the most compelling risk/return opportunities across the credit spectrum. An unconstrained and flexible approach to asset allocation within credit markets is implemented in the management of WFAM Credit Europe's strategies.

The team's investment process is robust, repeatable, and transparent. Active allocation gives investors the opportunity to benefit from attractive risk/return across the credit spectrum. Investors are able to capture income and capital appreciation throughout different stages of the credit cycle. In addition to the ability to add value through asset allocation, the strategy aims to generate returns through strong security and sector selection.

Strategy details

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