Marret High Yield Strategies Fund


By |


The portfolio is actively managed by Marret using specialized high yield debt strategies designed to maximize risk-adjusted returns and preserve capital in each phase of the credit cycle. Over the course of a credit cycle, the goal is to generate returns consistent with the long-term performance of equity indices, but with the volatility and risk characteristics consistent with 10-year U.S. Treasury notes. Marret will employ hedging strategies, including shorting securities and holding cash, designed to generate positive returns and/or protect the portfolio against the risk of losses from currency fluctuations, interest rate changes and market declines. The majority of the holdings denominated in foreign currencies will be hedged to the Canadian dollar, with no more than 25% unhedged at any time.

Contact Information

Main Phone: +1 416 6012440
Address: BCE Place
Address 2: 181 Bay Street, suite 840
State: ON
City / Town: Toronto
Country: Canada
Postal Code: M5J 2T3

Issuer Information

Exchange: TSX
CEO: Barry Allan
NAICS: Portfolio Manage
Company data no longer available
Last Price N/A Change $ N/A Change % N/A Tick N/A
Bid N/A Bid Size 0.00 Ask N/A Ask Size 0.00
Open N/A High N/A Low N/A Prev Close N/A
Last Trade Volume 0 52 Wk Hi 0.60 52 Wk Low 0.55
Market Cap N/A Ex-Div Date N/A Div Rate N/A Yield N/A
Shares 68,759,000.00 EPS (TTM) 0.45 PE Ratio 13.10 Exchange TSX