Multi-Sector Fixed Income
Key characteristics: • Team-based collaborative approach between portfolio management and research • Analysts cover issuers across the full credit quality spectrum • Extensive structured research experience and capabilities • Business cycle-informed portfolio management approach • Risk-focused mindset
Key characteristics: • Team-based collaborative approach • Extensive structured research experience and capabilities • Credit cycle-informed portfolio management approach • Risk-focused mindset
High Yield & Bank Loans
Key characteristics: • Differentiated research framework • Business cycle-based investment approach • Experienced team, consistent process
Key characteristics: • Qualitative research enhanced by quantitative analytics • Asset type agnostic, relative-value approach • Diverse and experienced team
Defined Benefit Solutions
Key characteristics: • Ability to develop solutions for plans of all sizes and all stages of derisking • Extensive experience constructing and managing to customized benchmarks, both asset-based and liability-based • Multi-sector fixed income solutions supported by experienced, long-tenured portfolio managers • Research-focused mindset
Key characteristics: • Business cycle-based investment approach • Deep bankruptcy and restructuring experience • Broad research capabilities, global perspective
Aegon Asset Management provides alternative investment solutions that seek to enhance diversification and provide differentiated returns for institutional investors.
Responsible Investment Solutions
Aegon Asset Management’s responsible investment capabilities include exclusionary, best-in-class and thematic/impact solutions.