RP Debt Opportunities is a long/short global investment-grade-focused credit strategy that seeks to generate absolute risk-adjusted returns without benchmark constraints. The strategy utilizes outright and relative value, alongside active trading, to produce returns in all interest rate and credit spread environments. The strategy aims to produce a return profile with lower volatility than broad credit markets while preserving capital.
Historical Strategy Performance Download Scorecard
|1 MON||3 MON||6 MON||YTD||1 YR||ANNUALIZED SINCE INCEPTION*|
|RP Debt Opportunities Strategy||-0.13%||0.13%||0.25%||0.25%||2.91%||9.52%|
|Barclays Global Aggregate Corporate Index USD||-0.29%||-0.44%||-1.85%||-1.85%||3.46%||4.72%|
*Inception: October 2009 to July 2011. For important strategy performance information please see Legal and Important Information.
|TARGET RETURN||6-8% net of fees|
|ELIGIBILITY||Canadian residents. Eligible for registered accounts|
|STRUCTURE||Mutual Fund Trust|
|MANAGEMENT FEE||1.5 % on Series AF, FA and 2.0 % on Series B|
|PERFORMANCE FEE||15 % on Series AF, FA, B|