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Institutional Investors > United States > Investment Strategies

Emerging Markets/Global Fixed Income

Our emerging market and global fixed income strategies are managed by BlueBay Asset Management Ltd., a leading European asset manager based in London. Founded in 2001 and acquired by RBC in 2010, BlueBay specializes in fixed income and alternative investment solutions including the 4 investment strategies offered in the U.S.; the BlueBay Emerging Market Select Bond Strategy, BlueBay Emerging Market Corporate Bond Strategy, BlueBay Global High Yield Bond Strategy and BlueBay Global Convertible Bond Strategy.

As one of the largest managers of fixed income and alternative products in Europe, BlueBay complements the RBC Global Asset Management family, leveraging the complementary strengths of both firms in investment management and thought leadership.

Our investment approach centers around credit analysis. In order to drive security selection and exploit market inefficiencies, we use strong credit expertise and proprietary research. We have a well-developed and rigorous investment process that draws on top-down and bottom-up contributions. Consistent adherence to style and process across market conditions is ensured through a tried and tested, team-driven approach. In all our strategies, we seek to maximize alpha within a disciplined and risk-controlled environment.


 Mutual Funds