Overview
Multi-Asset Credit
BSP’s Global Multi-Asset Credit platform provides a single, diversified solution across global sub-investment-grade credit markets, combining U.S. and European high yield bonds, loans, structured credit, and special situations within one unified portfolio. The strategy is designed to address investors’ need for efficient access to multiple alternative credit sleeves without managing separate mandates, while targeting attractive risk-adjusted returns and capital preservation. Portfolios are managed by a long-tenured team using a disciplined investment process that integrates top-down asset allocation with bottom-up security selection supported by one of the industry’s larger global credit research platforms. This scale, combined with broad sourcing relationships and the ability to reallocate capital across sub-strategies in real time, is intended to capture relative-value opportunities and provide a balanced return profile through different market environments.