The High Yield team’s approach is centered on the belief that fundamentals and valuations are the best determinants of future returns. The team relies on their 35+ professionals’ deep experience in high yield to help generate competitive risk-adjusted performance. In addition, they leverage an additional proprietary framework when integrating ESG considerations and call upon the resources and expertise of Calvert, a leader in responsible investing. The breadth of the High Yield team’s platform helps ensure there are strategies with risk/return characteristics to meet all client needs.
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				Invests in high-yielding fixed income securities, primarily euro-denominated corporate debt that offers yields above that generally available on investment-grade debt.  
			 
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				Invests in a globally diversified portfolio of convertible bonds in an effort to take advantage of their attractive historical risk/return characteristics.  
			 
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				Invests globally with a focus on U.S. middle market credits and on larger, higher-quality issuers in Europe and in Asia.  
			 
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				Invests in U.S.-denominated debt issued by corporations and non-government issuers, with a focus on middle market credit.  
			 
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