
Credit Investments Group
Leading non-investment grade credit franchise
Credit Investments Group (CIG) is a recognized global non-investment grade credit manager investing in senior loans, high yield bonds, collateralized loan obligations (CLO) and private credit. We have significant experience investing in performing credit strategies and managing portfolios through various credit cycles. Two senior members of the Corporate Credit Forum have managed portfolios together for 25 years.
- 0 USDbillion¹ AUM
- 0 +year track record
- 0front office professionals
- 0 +existing direct corporate relationships.
Highly experienced team
One of the largest non-investment grade credit managers with substantial scale, an extensive network and experienced investment teams.
Broad range of solutions
Founded in 1997, CIG offers a select suite of credit strategies designed to help investors meet capital preservation needs and enhance yield opportunities.
Strong sourcing capabilities
Given our size, scale and long history in credit markets, much of our deal flow stems from long-standing relationships which can translate into early looks on new investment opportunities.
- Navigating fixed income in 2025: Key trends and insights
- Asia credit market on the recovery path
- Will US bond markets outperform Europe and China in 2025?
- 2025 Fixed Income Default Study
- Emerging market debt reflections following IMF-World Bank meetings
- Fixed income outlook – 3Q 2024
- Portfolio diversification with Sukuk
- The Fed did it, and may do it again soon
- Fixed Income Outlook – 2H 2024
- Yielding answers: Are cash investors being complacent?
- Dollar and debt dominate IMF-World Bank discussions
- The next move: Trying to predict central banks’ inflation end game
- EM investment grade sovereign hard currency debt in central bank portfolios
- The fight against inflation enters extra time
- Macro outlook and impact on fixed income for 2024
- 2024 Fixed Income Default Study
- Sparking bonds back into life
- Asia credit market outlook
- Emerging market review and outlook – equities and fixed income
- A new game plan to invest in China
- The force awakens in fixed income
- EM corporate debt: A misunderstood asset class
- Convertible bonds and how they perform in the aftermath of a rate hike cycle
- A decade after the taper tantrum, is it the emerging market’s time to shine?
- Pulling the interest rate ripcord
- Has the fixed income ship already sailed?
- Find strength and balance in Asian credit
- Why invest in both Chinese rates and credits
- Noise canceling: Tuning into central banking signals
- The last resort: Bringing inflation back to target when all else fails
- 2023 Fixed Income Default Study
- Credit investing in a higher interest rate world
- China and the Global Economy
- There is light at the end of the tunnel
- A thicker cushion against another bad landing
- Why convertible bonds are useful during market volatility
- What goes up….
- Turning positive? Three reasons to look at fixed income again
- What next for central bank policy?
- Webinar: Where next for bonds?
- The dichotomy within China fixed income
- Sail with lift and drag in China investing
- EM Fixed Income: We aren’t out of the woods yet
- The difference hedging costs make for China bonds
- Why senior secured loans are loved by bond investors
- ECB rate hike cycle: how will they start?
- Is it time to revisit fixed income allocations?
- Is it time to revisit fixed income allocations?
- Three benefits of higher income in fixed income
- EM Fixed Income: Brace for a long, stormy summer
- Global economic growth 2022: 4 potential scenarios
- Fixed income markets and the end of the ‘Fed Put’
- Bond Bites: Off target
- Where next for Emerging market debt?
- Bond Bites: What doesn’t bend, breaks?
- EM Fixed Income: Bye Bye Globalization, Hello Stagflation
- Bonds in the Face of Inflation: the Beautiful and the Damned
- Demystifying ‘Green,’ ‘Social’ and ‘Sustainable’ Bonds
- 2022 ۶Ƶ-AM Default study
- Into the unknown
- EM Fixed Income: Cross currents bring risks and opportunities
- Navigating challenging fixed income markets
- Postcards from the Death Zone
- Real Estate in China: Sector Focus
- Asia: Looking beyond familiar territory
- China: Navigating the regulatory landscape
- Living in a post-peak growth world
- Capitalism. And other myths.
- The spirit of Dada
- The post-pandemic recovery takes shape
- Conversation with Kevin Zhao — Inflation, post pandemic recovery or longer-term trend?
- Asia Now
- A new rhythm?
- Paying the price of higher growth upfront
- The benefits of convertible bonds
- Expand from the core
- Top three myths in EM corporate bonds debunked
- Bear country - survival tips for the unwary
- China 2021 - the investing outlook in 10 charts
- China fixed income: under the microscope
- EM Fixed Income: As good as it gets?
- China‘s three red lines
- Asia fixed income: a stand-out market
- Emerging Markets: Beyond GDP Growth
- Central banks; still in vogue
- Dividends for yield-thirsty investors
- Trends suppressing bond yields
- When will inflation return?
- Shifting to a lower gear
- Building a climate smart future
- Chinese assets: diversification and return
- Want China but don't like risk?
- Bond yields: lower forever?
- China Translated - July 2020
- The Fed holds the key
- Embracing a socially-distant early cycle
- Michael Baldinger in conversation with Responsible Investor
- China fixed income – investing in a new world
- China fixed income: what is Bond Connect?
- What happened at China's 'Two Sessions' government meeting?
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Introducing our leadership team
Meet the members of the team responsible for ۶Ƶ Asset Management’s strategic direction.