CORUM Butler Asset Management
Our expertise in High Yield Bond Funds
Our team of European High Yield corporate bond investment specialists has achieved strong returns for more than 10 years.
Key Figures
Founded in 2018, CORUM BUTLER Asset Management is authorized and regulated in Ireland by the Central Bank of Ireland (CBI – n ° C176313). It is the management company in charge of the regulatory and operational framework for the group’s UCITS bond funds. CORUM BUTLER Asset Management is also responsible for the production of documentation relating to CORUM Butler Entreprises, Butler Credit Opportunities, CORUM Butler European High Yield, CORUM Butler Short Duration and CORUM Butler Smart ESG.
Contact Information
2-4 Ely Place – Dublin 2, Ireland
+353 1 544 3838
Documents
Our Funds
Our CORUM Butler Entreprises (CBE) dated fund aims to deliver a solid performance over its lifetime, by investing primarily in corporate bonds redeemed before 2029 in the European High Yield market.
Fixed Maturity fund
High Yield
European
Our CORUM Butler Entreprises (CBE) dated fund aims to deliver a solid performance over its lifetime, by investing primarily in corporate bonds redeemed before 2029 in the European High Yield market.
Fixed Maturity fund
High Yield
European
CORUM Butler European High Yield (CBEHY) fund supports long-term business projects. The active management of this fund allows managers to invest all or part of the fund’s capital depending on market conditions.
Long Only
High Yield
European
Our CORUM Visio fund invests in a portfolio of diversified bonds for which the borrowed capital will be repaid within one to two years.
Short Duration
High Yield
European
CORUM Butler Smart ESG Fund
Our CORUM Tellia fund invests in business projects that meet Environmental, Social and Governance (ESG) criteria. This fund is certified by the SRI label, guaranteeing the rigorous selection criteria for companies and transparency of information are satisfied.
ESG
High Yield
European
Our Butler Credit Opportunities (BCO) fund has the long-term (non-guaranteed) objective of delivering the best risk-adjusted returns while keeping volatility below 5% over the credit cycle*. The investment team enjoys great freedom in its decision-making. Their Long/Short strategy aims to take advantage of the European High Yield bond markets in both up and down market trends.
Long Short
High Yield
European
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