Capital Preservation with Attractive Returns
The investment strategy is based on capital preservation, bottom-up analysis of credit risk and optimisation of relative value. Accunia is a specialised asset manager of credit asset classes; specifically private debt, high yield bonds and structured credit (e.g. ABS and CLO).
The annualized return has been 9.1%* since 2009 within our discretionary mandates.
*Verified by Deloitte on a yearly basis.
Historical Annual Returns*
|2009||2010||2011||2012||2013||2014||2015||2016||2017||2018||2019||Return YTD||Annual Return|