Investment Philosophy
Our investment philosophy is based on generating an alpha from pure credit risk in the European credit markets.
The European credit market is growing in terms of both size and diversification, following the route of the larger US capital market. It is, however, less efficient than the US, providing a number of opportunities which can be exploited to generate alpha.
Our portfolios are actively managed on an integrated basis by a large team of Portfolio Managers and Research Analysts. We believe one of our key strengths is our extensive fundamental credit research experience combined with our trading and relative value expertise.
ECM has always taken an innovative approach to product development, building on our product and structuring expertise. We manage a wide range of products, and offer our investors significant flexibility in terms of benchmarking.

