Royal London Asset Management case study

Global High Yield – Addressing the concerns

Published by : Royal London Asset Management

Over the last decade, high yield has produced exceptional returns, provided excellent opportunities for stock pickers and has established its position in the overall investment landscape.


However, any discussion at this time with regards to the asset class needs to address the three key issues that we believe most often concern investors: value, volatility and defaults.


Topics include:


 - Is there still value to be found in the market?


- How severe is market volatility likely to be?


- After this period of low default rates, what is the likelihood of a future spike in defaults?


- The RLAM approach to Global High Yield

Published:12 February 2014

Business Area: Investment

Type: Portable Document Format (.pdf)

Tags:

Not registered?

Register with Financial Library for access to market intelligence, data and reports from leading experts.

Sign up here