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Butler Credit Opportunities

Butler Credit Opportunities is a Long / Short credit strategy that aims to take advantage of European High Yield markets in both up and down configurations, while maintaining volatility below 5%

Selected share

EUR Institutional Class A

ISIN

IE00BMVX1H59

0.6 %

YTD performance¹

As of 08/09/2026

Summary Risk Indicator²

Morningstar Rating

133.4597

Latest net asset value

As of 08/09/2026

924.8

Assets under management

As of 31/08/2026

Our mission

The Butler Credit Opportunities Fund is a long/short fund invested in the European high-yield market, aiming to deliver the best possible performance while keeping portfolio volatility below 5% over the entire credit cycle.The management team employs a three-step investment approach, placing risk management and loss minimization at the core of portfolio management, while continuously seeking opportunities to generate high risk-adjusted returns.
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Our Investment Strategy

The investment management team employs a three-step investment approach, placing risk management and capital preservation at the heart of its strategy:

Top-Down Approach

The team conducts a macroeconomic analysis to determine the appropriate level of the portfolio’s exposure to the bond markets.

Bottom-Up Approach

The team focuses on fundamental analysis of individual securities, evaluating the key financial metrics of each bond, as well as the potential for value appreciation in long or short positions.

Risk Management

Portfolio construction determines the capital allocated to each investment theme, taking into account risk, liquidity, volatility, and other factors. Dynamically adjusting the fund’s exposure is a key tool for preserving capital.

Fund details

Characteristics

Legal form

UCITS

Domiciliation

Ireland

Liquidity

Weekly

Assets under management as of 08/09/2026

924.8

Number of positions as of 08/09/2026

201

Launch date*

18/10/2017

Benchmark

None - Absolute Return

Fees

Currency

EUR

Management Fees

1 %

Performance Fees

15 %

Minimum Initial Investment (Amount)

10,000,000 €

Distribution countries

¹Performance figures are calculated based on daily data. BCO makes no guarantee of returns or performance, and there is a risk of capital loss. Please note that past performance is not a reliable indicator of future results.

²This indicator is derived from historical data and should not be considered a reliable predictor of the unit’s future risk profile. For more information on the associated risks, please refer to the unit’s PRIIPS KID. The risk category indicated above is not guaranteed and may change over time.

Portfolio composition

Composition as of 31/08/2026

Current exposure by credit rating of our long positions (% of net asset value)

Current exposure by credit rating of our short positions (% of net asset value)

Net exposure by sector (% of net asset value)

Net exposure by geographic region

History

Data for selected share:

4.7 %

Performance 3 years

As of 08/09/2026

Latest net asset value

As of 08/09/2026

Documentation

Factsheet July 2026
Prospectus
Supplement
Approved Funds Supplement
Semi-Annual Financial Statements 2026 (EN)
Semi-Annual Financial Statements 2025 (EN)
Financial Statements 2024 (EN)
Semi-Annual Financial Statements 2024 (EN)
Financial Statements 2023 (EN)
Semi-Annual Financial Statements 2023 (EN)
PAI Statement 2025
SFDR Website Disclosures BCO
Regulatory Documents (KID/KIID)