ACA's Investment Approach

ACA excels in providing expert guidance through its constant focus on appropriate and effective risk  management.

ACA's advisory approach focuses on identifying a suitable risk profile for our clients, whilst assisting them to manage assets in a personalised way in accordance with the identified profile.

ACA's focus is capital preservation, above all else.

Why Global Credit and High-Spread Fixed Income Strategies?

Allocation to Global Credit and High-Spread Fixed Income strategies, such as Emerging Market Credit, Global High Yield, Private Debt and Distressed Debt, enables portfolios to earn uncorrelated high risk-adjusted returns, providing investors enhanced yield and diversification from fixed income investments in the developed world.  This is most evident when the global financial markets suffer from developed market-induced crisis. 
 

Global Credit, Emerging Market Credit, Global High Yield, Private Debt and Distressed Debt are asset classes where an active and talented investment advisory team with a proven investment process can exploit ample opportunities created from both, idiosyncratic risks and return dispersion.
 

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