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With over US $11.0 billion in high yield assets under management AIG Investments has one of the largest high yield operations in the industry.
Our size works for our clients in many ways:
- one of the largest research staffs in the business
- position sizes afford better access to top management
- size matters in Wall Street relationships
- ability to source deals at a discount
- interaction with other AIG investment groups
Our high yield investment philosophy is to maximize returns and minimize volatility in a proactive risk-controlled culture that offers client-focused solutions.
We feel client portfolios are best served by team decision making and our interactive approach of portfolio managers, analysts, and traders offers a deep credit-intensive process focused on quality and risk management
- intensive industry analysis
- macro economic analysis
- market/technical data
People – experience and alignment
- intensive industry and credit analysis
Process – maximize upside, minimize downside
- active and consistent management of well diversified portfolios
Performance – outperform with less risk
- a demonstrated track record of lower volatility combined with higher total returns than comparative indices
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