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Convertible bonds

An asset class offering equity market exposure and controlled risk

In a market environment riddled with uncertainties, convertible bonds are unique in offering equity market exposure with controlled risk, thanks to their hybrid equity/bond profile.
OFI Asset Management’s convertible bond team consists of three manager/analysts with an average of more than 10 years of experience in this asset class.
It takes a stock-picking-based, non-benchmarked approach that seeks out companies with solid development potential. The investment team does not invest directly in equities. It may use synthetic convertibles for diversification purposes or hold equities only after conversion.

OFI Asset Management’s range consists of three convertible bond funds that are complementary in terms of equity sensitivity and geographical diversification. It stands out in its socially responsible investment approach in euro and European funds.

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