They encompass Fixed Income strategies: Flairfinance has earned an undisputed position as the number one growing Investment company within High Yield Fixed Income in the Global Oil and Offshore and Corporates Primary and Secondary markets. With the largest Fixed Income Department dedicated to High Yield bonds for these sectors, Flair Finance is the best in terms of both market knowledge and placing power.
Delivering the best of our capabilities to you
Fixed Income solutions include: A truly integrated Fixed Income capability, offering deep expertise across a broad range of assets and markets, combined with strong risk management and delivery via products across the full credit and maturity spectrum.
A globally oriented service for a globally integrated world. From traditional to alternative – whatever your risk profile is, our Fixed Income range is designed to offer you a broad spectrum of capabilities even under the most challenging market conditions. By utilizing a range of investment vehicles and benchmarks, we can tailor our offering to meet your needs.
Multi-sector strategies, including core and core plus bond.
Extended sector strategies which cover high yield and emerging market debt.
Single-sector strategies such as government and corporate bond portfolios.
Money market and short duration.
Global and regional.
We are a leading Fixed Income provider, managing and trading customers funds globally for over 20 years.
Global Intergrated Resources
With a dedicated team of professionals located across the globe and trading globally, we connect global expertise with deep local knowledge to align alpha opportunities and risk exposure.
Our uniquely structured global credit research process offers you the best of our thinking from teams around the world. Our capability includes professional analysts. We take a globally integrated approach, leveraging the links between credit and equity research.
Disciplined Investment Process
In our view, combining a top down and bottom up dynamic approach to exploit diversified sources of alpha is key to delivering consistent performance over time. Given our size we are nimble enough to add value via security selection, while still enjoying the ability to seek optimal execution in the markets.