Investor Summary

The fund is managed by experienced portfolio managers Seth Brufsky, Kapil Singh, CFA, and Chris Mathewson under the sub-advisory of Ares Capital Management II LLC. The parent organization Ares Management Corporation manages over $525 billion in assets globally as of December 31, 2024. The fund has received recognition including a 2025 LSEG Lipper award for 5-year performance and Morningstar ratings of 4 to 5 stars across share classes.

Read More

Fund Strategy

The Fund seeks total return, primarily from income and capital appreciation. The Fund employs flexibility by allocating assets among core and opportunistic investments as market conditions change. The Fund invests at least 80% of its assets in U.S. and non-U.S. debt instruments, including below investment grade and distressed securities. The Fund employs opportunistic liquid credit, structured credit, special situations investments, and hedging strategies including derivatives. By hedging portfolio risks, including credit, interest rate and currency, the fund preserves capital across multiple investment categories.

Read More

FUND PERFORMANCE AS OF 31st December 2025

ANNUALIZED SINCE INCEPTION QUARTERLY YTD
5.6% 0.6% 6.8%
2025
6.8%