EXPERTS IN ALL PARTS OF THE CONVERTIBLE BOND SPECTRUM
We believe that convertible bonds offer one of the best risk-adjusted long-term returns of any of the major asset classes.
Efficient investing in the strategy requires not only a deep technical understanding of the product but also a sound grasp of the fundamentals of the issuer. The starting process for all our products combines a rigorous bottom up analysis of the convertible bond universe combined with a top down view of the asset class.
We believe that this multi-disciplined approach by experienced practitioners allows us to construct diversified portfolios that deliver strong risk-adjusted returns.
Why Ferox Capital?
Exclusive focus on convertibles
We exclusively manage strategies relating to the convertible bond market
We are experts in all parts of the convertible spectrum
Our investment style is focused on maximising the benefits arising from the asymmetric risk/reward profile of convertible securities and their embedded optionality
Managing hedge strategies alongside long-only is a source of innovation and allows cross-fertilisation of ideas
Proven track record
Established in 2000, Ferox Capital is one of the longest running pure convertible bond fund managers
Our strategies have a proven track record of outperforming benchmarks and peer groups
Expertise and experience
Ferox Capital has assembled one of the most experienced convertible bond specialist teams in the industry
Our investment team has over 18 years' experience on average in the industry
We have refined a highly developed investment process and robust infrastructure over nearly 20 years
Our strong relationships with banking community provide a constant source of alpha generation