ASSET management

OUR HISTORY

IVO Capital Partners applies to UCITS collective asset management vehicles its long-standing expertise of corporate bond selection. Management team has close to 20 years of experience managing credit opportunities for investment banks prop trading book and for third parties assets.

OUR INVESTMENT UNIVERSE

Our investment universe covers all corporate bonds issued worldwide in hard currencies and that offer yield premiums.

OUR PRINCIPLES

Going beyond geographical barriers and popular belief. Getting to the bottom of things, and thus, broadening the investment universe in order to seize opportunities where they really are.

OUR STRENGTH

Understanding yield premiums / risk premiums.

“Country risk” continues to be a major component in corporate bond ratings and yields, at times justifiably and at times unjustifiably so.

OUR APPROACH

  • Internal business factors / in-depth fundamental analysis of issuers / systematic meetings with issuers
  • Factors external to the business / ‘country risk’ analysis / distressed sector analysis

Discover

our UCITS funds

IVO Fixed Income
UCITS

IVO FIXED INCOME SHORT DURATION UCITS

IVO GLOBAL OPPORTUNITIES UCITS

SCHELCHER IVO Global Yield 2024 UCITS

Partners

Partners and Platforms