Is 2024 going to be a Goldilocks scenario for US HY?
AXA IM offers a range of US high yield strategies investing across credit ratings and maturities.
US High Yield strategies
All of our US strategies follow a robust bottom-up credit research process that is based on the belief that superior long-term returns are realised through compounding current income and avoiding principal loss.
US Dynamic High Yield Bonds strategy
Investing mainly in US high yield market with the ability to position differently duration, geographic or sector and issuer allocation compared to the ICE BofA US High Yield Master II benchmark index.
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