BlueBay is a specialist fixed-income credit manager with an active management style. Credit analysis is at the heart of its investment approach and is used to exploit existing market inefficiencies.
The BlueBay Macro Fund manages the macro strategy within BlueBay’s flagship BlueBay Multi-Strategy Fund. The fund uses proprietary top-down and bottom-up input from BlueBay’s research and economics team to identify valuation gaps, trends, mean reversion and directional opportunities.
The week on Risk.net, December 2–8, 2017Receive this by email