Video 1: Approach, differentiation and macro outlook
For video details see timings below:
00:10: How do you approach investment risk as a team?
01:59 How do you stress test for liquidity in the market?
03:17 What is your target return?
03:44 Where does this strategy fit within a portfolio?
04:57 How do you distinguish yourselves from other buyside managers?
05:55 How are you thinking about the macro environment?
Video 2: being a market maker and current opportunities
For video details see timings below:
00:20 To what extent do you apply your models to each credit you cover?
03:10 What are the practicalities of being a market maker?
07:04 How do you manage to outperform given the costs you are facing?
09:11 In what environments does your strategy perform best?
10:27 How do you think about duration and how to you manage it?
12:23 What does your credit research team not like at the moment?
13:52 Outside of financials are you seeing any interesting opportunities?
15:30 Can this trend be accessed within the UCITS?