UBP has been active in the management of convertible bond strategies since 1999. Our solutions are designed to capitalise on the most attractive features of convertible bonds – notably, their unique asymmetric risk–return pay-off. Combining bond- and equity-like features, convertible bonds allow meaningful participation in equity markets’ rise and effective downside risk mitigation.
Over the past 20 years, UBP has developed a broad offering of European, global and responsible convertible bond strategies in order to grant investors access to the richness and diversity offered by the asset class.
For all our strategies, convertible bonds’ convexity is the key feature that is always at the core of our investment approach. With a team of nine dedicated professionals, UBP is a major player in the convertible bond space.
Our convertible bond strategies are managed using a unique and dedicated bottom-up process, built on the following key pillars:
Find out more about our convertible bond offering