Our Amundi Global Corporate High Yield Strategy seeks an attractive total return by combining the interest income of high yield bonds with capital appreciation. The Strategy invests across US high yield, European high yield and emerging market corporates. At least two thirds of the Strategy assets are in bonds rated high yield (Ba/BB to Caa/CC), by the two primary bond rating agencies, Moody's and S&P.

                              

                        

                       

   

The Strategy is suitable for investors seeking high income and with an intermediate horizon.

Ken Monaghan

Managing Director
Co-Director of High Yield
Portfolio Manager

Biography

Andrew Feltus, CFA

Managing Director
Co-Director of High Yield
Portfolio Manager 

Biography

Matthew Shulkin, CFA

Senior Vice President
Portfolio Manager 

Biography

Overview

  • Dynamic allocation across US high yield, European high yield and emerging market corporates
  • Investment process that combines top down elements with a robust, bottom-up credit selection process
  • Opportunity for spread compression

Why Amundi US?

The Strategy is managed within a strong fixed income investment culture focused on sound, fundamental research.  Key features of the Amundi Global Corporate High Yield Strategy include:

  • Lead Portfolio Manager with over 30 years industry experience
  • Strong in-house credit research and Portfolio Management teams based in Paris, US, London, Dublin and Singapore
  • Focus on security selection and sector rotation with attention to appropriate portfolio diversification1 and liquidity

   

1Diversification does not guarantee a profit or protect against loss.