CHF-Denominated Bonds
Key facts
Since | 1990s |
Investment universe | Investment grade bonds denominated in CHF |
Types of strategies on offer | Active, semi-active, passive, SRI |
How we invest
Our active and strategic credit selection stems from fundamental research and a strong focus on capital protection.
Each of our CHF-denominated bond portfolios is managed using a tailor-made investment process, optimised to that particular market.
Strong liquidity management is fully embedded in the process, and transactions costs are kept low.
Our investment philosophy
Our investment approach is designed to generate returns by exploiting certain characteristics of the CHF-bonds market.
These characteristics include strong demand, the small number of large market participants, strategic investors, high sensitivity to systemic risk and low volatility.
Our portfolio managers
-
Olivier Hildbrand
Head of Developed Markets Credit - CHF Bonds
-
Joël Hutter
Senior Investment Manager
-
Oliver Haubner
Investment Manager
-
Muriel Chabot
Investment Manager