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Funds

Global Fixed Income Experts

RPIA manages over $5B in global fixed income for institutions and private clients across a number of different strategies. 

 

 

 

Mutual Funds

RP Strategic Income Plus Fund

RP Strategic Income Plus Fund seeks to generate stable risk-adjusted absolute returns consisting of dividends, interest income and capital gains by investing primarily in investment grade corporate debt and debt-like securities, with a focus on capital preservation.

RP Alternative Global Bond Fund

RP Alternative Global Bond Fund seeks to generate attractive risk-adjusted returns with an emphasis on capital preservation. The Fund will invest primarily in investment grade debt and debt-like securities of corporations and financial institutions.
Private Pooled Funds

RP Select Opportunities Fund

Long/Short

RP Select Opportunities Fund is an unconstrained long / short credit fund that seeks to generate strong risk-adjusted returns, preserve capital and minimize volatility. The Fund gains exposure to its underlying investment portfolio by holding units of its applicable master feeder fund structure. The underlying portfolio invests globally in opportunities across credit asset classes including investment grade, high yield and preferred shares. In the management of the portfolio RPIA utilizes outright and relative value - alongside active trading.

RP Debt Opportunities Fund Trust

Long/Short

RP Debt Opportunities Fund Trust is a global investment-grade focused credit fund that seeks to generate strong risk-adjusted returns without benchmark constraints. The Fund gains exposure to its underlying investment portfolio by holding units of its applicable master feeder fund structure. The underlying portfolio invests primarily in investment grade debt securities on both an outright and long/short relative value basis. RPIA aims to generate returns through the use of strategies that include fundamental value and active trading. The portfolio has the flexibility to use leverage and short positions intended to help produce a return profile with low volatility and a focus on capital preservation.
 

RP Corporate Index Plus Fund

Long Only

RP Corporate Index Plus Fund is an actively managed credit fund whose primary objective is to outperform the FTSE Canada All Corporate Bond Index net of fees in a risk-controlled manner. The Fund aims to add value through superior credit selection across global credit markets and avoid uncompensated interest rate risk by remaining duration-neutral versus the benchmark.

RP Fixed Income Plus Fund

Long Only

RP Fixed Income Plus Fund aims to generate a stable return, low volatility by investing in a portfolio of investment grade money market instruments, government bonds and high quality corporate bonds primarily on a long basis but with the ability to use cash-covered short positions to hedge interest rate risk. The Fund’s investment portfolio is actively managed with a low sensitivity to the direction of interest rates.