Capital market strategies
ICG Credit Fund Management specialises in managing investments in senior secured loans, high yield bonds and structured credit products. Our experienced investment team conducts thorough fundamental credit research.
We seek to deliver superior risk-adjusted returns, through comprehensive credit analysis, capital preservation and relative value. Using our access and market insight, we seek to capitalise on inefficiencies in credit markets to create returns above the expected market returns. Our rigorous bottom-up research generally provides an information advantage that drives our investment selection, lowers our default rates and enables better recoveries.
Market cyclicality offers further opportunities for investors with the experience and conviction to invest when prices are overcompensating for risk. We believe return normalisation takes time so a medium to long investment horizon is essential to outperforming expected market returns.
ICG Credit Fund Management provides access to credit investments through a variety of investment vehicles, including CLOs, commingled funds and customised managed accounts tailored to meet specific investor requirements.