Credit and Convertible Bonds

The investment objective of SCOR Investment Partners credit and convertible bond funds is to achieve a performance greater or equal to their respective benchmark.

Bond selection lies at the heart of the investment process. Investment decisions are based on a mix of qualitative and quantitative approaches together with extensive credit analysis. Credit analysts are fully integrated to the investment team to ensure strong involvement to performance.

Value-added:

  • Team with more than 17 years of credit market experience 
  • Strong historical performances

 

Credit and Convertible funds:

Name ISIN code Value Date NAV AuM Performance YTD Benchmark
SCOR Sustainable Euro High Yield FR0010853556 16/06/2021 1999.52 EUR 561 M 2.96% Bloomberg Barclays Euro High Yield 3% Issuer Constraint index ex Financial TR Unhedged
SCOR Convertible Europe FR0011368430 16/06/2021 1400.86 EUR 177 M 1.53% EXANE ECI Europe
SCOR FUNDS - Europe High Yield LU1497740842 16/06/2021 1146.59 EUR 155 M 2.75% Bloomberg Barclays Pan Europe HY 2.5% Iss Constr x Fin TR Index Hedged EUR
SCOR FUNDS - Euro Short Term Duration High Yield LU1497739240 16/06/2021 1040.62 EUR 52 M 1.18% N/A