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Competitive Advantages
Risks
Competitive Advantages
Specialized Credit Management Expertise: Managed by Octagon Credit Investors, a leading and experienced firm in leveraged loans and CLOs, providing deep sector-specific knowledge.
Floating Rate Income Focus: Predominantly invests in floating rate instruments, offering potential resilience and increased income generation during periods of rising interest rates.
Alternative Income Diversification: Provides exposure to non-traditional asset classes like private credit and CLOs, which can offer lower correlation to public equity and fixed income markets.
Risks
Credit Risk: The fund invests in loans and other debt instruments, primarily below investment grade, where borrowers may default on payments, leading to losses.
Interest Rate Risk: Although primarily floating-rate, changes in benchmark interest rates or credit spreads can still impact the value of the fund's assets and its income generation.
Leverage Risk: The fund employs financial leverage, which magnifies both positive and negative returns, increasing the volatility of the net asset value and share price.
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