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BlueBay Asset Management's ESG Success

Bluebay Asset Management is one of Europe’s largest specialist active managers of fixed income, sovereign debt, rates and FX. Launched in 2001 at the same time as the euro, its strategy was designed to capitalise on inefficiencies in the growing pan-European corporate bond market and emerging market debt. It launched its flagship credit long short hedge fund in 2002 and since 2013 has gone on to apply an ESG focus to its investment method.  It is clearly an approach that is working and current AUM across the firm is now $60bn with around $15bn in alternative strategies. Demand for ESG The ESG team,...