IVO Capital Partners applies its management team's long-standing expertise in corporate bond selection to UCITS collective investment products. Since its creation in 2012, IVO Capital Partners has been leveraging its expertise for third-party accounts, and on behalf of the equity desks of investment banks.
Our investment universe covers all corporate bonds issued worldwide in hard currencies and offering yield premiums.
Overcoming geographical divides and preconceived ideas, getting to the bottom of things and thus broadening the investment universe to seize opportunities where they really are.
"Country risk" remains a predominant component of corporate bond ratings and yields; while this is justified on certain occasions, it can sometimes take on too much importance in the rating, to the detriment of the company's intrinsic quality.
Understanding risk/return premiums
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