Founded in Zurich in 1994, Fisch AM is a leading independent asset management firm specialized in convertible bonds, corporate bonds and absolute return solutions.
Fisch AM was founded in Zurich in 1994 by brothers Dr. Pius Fisch and Kurt Fisch, and has made a name for itself as an independent asset manager and as a global leader in convertible bonds, corporate bonds and absolute return solutions. The company has over 90 employees and manages assets in excess of €11bn for institutional investors based in Europe.
Fisch’s investment process incorporates both a fundamental credit analysis and a quantitative approach. The credit analysis comprises fundamental, technical and relative value analysis, producing an independent credit quality assessment. This analysis is complemented by a momentum and trend identification, which helps to analyse market movements and take advantage of medium-term trends.
Fisch offers an actively managed mutual fund and segregated account solutions in Convertible Bonds, Corporate Bonds and Absolute Return.
Global Convertible Bonds
Convertible bonds combine the benefits of equities and bonds, performing similar to equities, with much less volatility.
With over 25 years of experience, Fisch AM currently manages four different global strategies covering an ample spectrum of risk profiles (Defensive, Investment Grade, Opportunistic and Dynamic), as well as a global convertible bonds strategy using a sustainability filter (Sustainable).
The Corporate Debt world is extremely diverse and offers investors the opportunity to obtain higher yields than on government bonds, as well as beneficial diversification properties if added to an equity or government bond portfolio.
Fisch manages Global High Yield, Global Corporates and EM Corporates (Defensive and Opportunistic) strategies.
Absolute Return strategies aim to achieve positive returns in a risk-controlled manner, in any market environment.
Fisch Absolute Return strategies include Fixed Income (LIBOR +2%), Multi Asset (LIBOR +4%) and Managed Futures (trend-following futures’ systematic strategy).
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C/ Génova, 11 4º Izda.
28004, Madrid. Spain.
Phone: +34 91 441 00 11