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Our range of institutional investment grade, high yield, emerging markets debt and multi-sector credit strategies, start with a carefully crafted worldview.
We seek to generate attractive risk-adjusted returns through a disciplined process of fundamental credit analysis complemented by solid portfolio management skills and sound risk management.
We believe our depth of global fixed income investment experience and well-honed research processes enable us to dynamically manage our full range of strategies.
Our experienced teams complement each other, managing across strategies, sharing experiences and market insights – adding value to all we do.
We have learned that a collaborative culture that leverages multiple viewpoints is the optimal way to identify opportunities, manage a range of portfolios and continue to build innovative products.
We believe actively trading our own portfolios keeps our investment professionals connected with markets and deepens relationships around the globe, enhancing our ability to achieve long-term success for our clients.
We integrate broad market knowledge and deep analysis with prudent active management, subjecting all investments to rigorous risk management.
Proprietary quantitative and risk management tools give us clear vision – enabling us to readily monitor performance and make tactical adjustments.
Our flexible strategies can be tailored to address specific investment objectives.