Our Nordic high-yield strategy focuses on interest-bearing securities issued by companies in Norway, Sweden, Denmark, and Finland. The goal is to achieve attractive ongoing returns through exposure to a region characterized by strong economies, low government debt, and high political stability. The Nordic high-yield market combines high interest rates with good credit quality and lower volatility than many comparable markets. Strong institutions, high transparency, and well-managed capital markets create a solid foundation for the investment strategy.

Credit opportunities in a region known for stability and transparency