Select another investor profile To access more content, select your investor profile

CHF-Denominated Bonds

We started investing in CHF-denominated bonds in the 1990s. Today, our long-standing expertise allows us to offer our clients a broad range of investment strategies, ranging from active, semi-active, passive and SRI investment strategies.

Key facts

Since1990s
Investment universeInvestment grade bonds denominated in CHF
Types of strategies on offerActive, 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

  • HILDBRAND-Olivier

    Olivier Hildbrand

    Head of Developed Markets Credit - CHF Bonds

  • HUTTER-Joel

    Joël Hutter

    Senior Investment Manager

  • HAUBNER-Oliver

    Oliver Haubner

    Investment Manager

  • CHABOT-Muriel

    Muriel Chabot

    Investment Manager

Contact us