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We have a wider investment toolkit compared to many of our peers – as well as fundamentals, we consider technicals and valuations, while incorporating policy, politics and macro analysis to give a top-down element to a fundamentally bottom-up driven decision-making process.
Our active investment approach is born out of our broad understanding of the investment-grade universe in both corporate and government debt.
This allows us to construct portfolios that aim to minimise credit risk while seeking to generate compelling returns by expressing investment ideas and themes across the risk spectrum.
Long-only strategies focused on opportunities in the investment grade universe
Liquid alternative and hedge fund strategies focused on opportunities within the investment grade universe
“Research is at the heart of everything we do – it’s the bedrock of our analysis. Through this we come up with ideas on alpha sources, which drive our investment performance.”
Chief Investment Officer
“By looking at credits and sectors on a global basis, we can help our clients generate more alpha. The way we do it is by spotting trends in one geography that could impact credits in another geography and seamlessly implementing those trade views within our portfolios.”
Head of US Credit
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