Talking factsheet: Global high yield bond strategy
Talking factsheet: Global high yield bond strategy
Adam Darling gives an overview of Jupiter’s global high yield bond strategy, how the investment process works, and how the team seek to generate alpha.
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A key feature of Jupiter’s investment approach is that we eschew the adoption of a house view, instead preferring to allow our specialist fund managers to formulate their own opinions on their asset class. As a result, it should be noted that any views expressed – including on matters relating to environmental, social and governance considerations – are those of the author(s), and may differ from views held by other Jupiter investment professionals.
Latest Insights
Staying Patient in Global High Yield Credit
Staying Patient in Global High Yield Credit
Fund manager Adam Darling says high yield credit has had a good run so far this year, but that investors should continue to watch the economic data closely for any threats to the prevailing soft landing narrative.
Read time - 5 min.
13.10.2024
Is high yield right to price a soft landing?
Is high yield right to price a soft landing?
Adam Darling expects volatility ahead in the high yield market as companies gird up to cross the refinancing hump in the coming months.
25.04.2024
Outlook 2024: Scaling a wall in high yield credit
Outlook 2024: Scaling a wall in high yield credit
Adam Darling discusses the yields on offer in high yield credit, why some companies may struggle with debt funding costs and the implications of an upcoming maturity ``wall.’’
Read time - 7 min.
02.01.2024
High yield bonds: volatility is opportunity
High yield bonds: volatility is opportunity
Adam Darling discusses why credit selection is crucial in the current environment as a potential recession could disrupt the asset class.
Read time - 4 min.
30.10.2023