Post by Channel Capital

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As investors seek resilient sources of income and greater diversification amid widening dispersion across global credit markets, a clear gap is emerging in portfolios − the need for a flexible allocation that can move across sectors, regions and credit quality as conditions evolve. While headline spreads have compressed, variation within markets remains significant. Performance differentials across issuers, sectors and regions continue to reinforce the importance of active, bottom-up selection and genuinely diversified exposure. The CC Wellington Multi-Sector Credit Fund* has been established to address this need. It provides Australian wholesale investors with indirect access to a dynamically managed portfolio of high-yield global credit opportunities, designed to capture relative value, diversify risk and deliver consistent, long-term risk-adjusted returns across market cycles. Learn more about the Fund: https://lnkd.in/gWwj_V-k For Professional investors and advisers only. *Channel Investment Management Limited ACN 163 234 240 AFSL 439007 is the Responsible Entity, and Wellington Management is appointed as the investment manager of CC Wellington Multi-Sector Credit Fund.

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