Private Fixed Income

Corporate Private Credit

Corporate private credit strategies backed by scaled and diversified sourcing combined with underwriting experience across all types of market cycles.

AUM1

$64.4B

Issuers1

772

Broad issuer base supporting diversification across sectors and transactions

Issuer domiciles1

29

Global reach supporting diversification across markets

Platform Scale1

40

Investment professionals fostering a relationship-driven approach

Corporate Private Credit

Globally sourced private corporate debt focused on relative value, with covenant protections and disciplined underwriting designed to support resilient income and downside protection.

We invest in private corporate debt aiming to deliver income and diversification, supported by a global platform with consistent access to privately sourced opportunities. Portfolios are constructed across sectors and credit quality to support resilience across market cycles.

Our approach to corporate private credit investing

We focus on originating and managing privately placed corporate debt across investment grade and high yield markets. Supported by a global platform and established origination capabilities, our approach aims to deliver income, diversification and downside protection across cycles.

Sourcing and origination

We source opportunities through a direct origination platform built on long-standing relationships with issuers, sponsors and agent banks. This approach provides access to proprietary deal flow and enables us to remain selective in pursuing the most attractive investment opportunities for client portfolios.

Underwriting and credit discipline

We apply a research-driven investment process focused on credit, structure and pricing. Sector expertise, ESG considerations and relative value analysis inform underwriting, with an emphasis on covenant protection and downside risk management.

Portfolio construction

We construct diversified portfolios across sectors, geographies, currencies, maturities and credit quality. Flexible structuring across fixed and floating rate instruments supports income generation, diversification and asset-liability alignment.

Asset management and risk oversight

We actively monitor investments through ongoing financial analysis, covenant review and regular portfolio assessments. A formal investment committee process and structured governance framework support disciplined risk management and consistent execution.

Available strategies

Corporate Private Credit Investment Grade

Predominantly investment grade strategies focused on high-quality issuers and structured protections, seeking to deliver stable income and align with client risk and return objectives.

Corporate Private Credit High Yield

Below investment grade and crossover strategies targeting enhanced income, with disciplined credit selection and structuring tailored to client risk tolerance and investment objectives.