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New Alpha Asset Management is an investment management company approved by the Autorité des Marchés Financiers under number GP 05-00001 dated January 20, 2005.

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New Alpha » Investment Strategies » Fixed Income & Credit
Liquid Strategies

Fixed Income & Credit

Our global Fixed Income and Credit allocations are designed to capitalize on market inefficiencies and generate consistent risk-adjusted performance across the credit spectrum.

Our global Fixed Income and Credit allocations are designed to capitalize on market inefficiencies and generate consistent risk-adjusted performance across the credit spectrum

Capital Preservation

We invest across the spectrum of corporate credit and identify what we believe to be the best-risk adjusted return opportunities.

 

Active Fund Selection

Through unbiased manager selection we aim to take advantage of attractive opportunities and benefit from diversification across global credit markets.

Comprehensive Credit Research

Our team of research analysts gathers both qualitative and quantitative inputs to evaluate fixed income strategies and understand the potential volatility and risks associated with trends in economic growth, defaults and investor risk appetite.

Our investment universe ranges from investment grade to high yield and broadly syndicated loans.

Absolute Return

As an experienced hedge fund investor, we have developed an extensive network giving us preferential access to a wide range of managers and strategies. Our qualitative and quantitative techniques bring transparency to risk factors, benchmarking and alpha generation.

Private Assets

We have built a coherent and efficient alternative platorm designed to deliver customized investment programs meeting the unique needs of our clients.