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Taking the Mystery Out of Multi-Asset Credit Investing


If the multi-asset credit universe seems intimidating, you're not alone. Wellington explains its approach to this strategy.

From our sub-adviser, Wellington Management
Anand Dharan, CFA
Fixed Income Investment Director
Amar Reganti
Fixed Income Investment Director
Additional contributor
Sam Livingston
Client Services Writer


In a sense, the multi-asset credit (MAC) universe is a study in contrasts—full of opportunity, yet shrouded in mystery for some investors. For example, what are some formulas for success when managing a strategy that invests across such a wide array of credit sectors (e.g., high-yield corporate bonds, emerging-markets debt (EMD), floating-rate loans, securitized credit)? How can investors in the strategy identify the sources of value-add?

Important Risks: Investing involves risk, including the possible loss of principal.

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