Helping you achieve a more reliable income stream and better capital protection
What Differentiates Bentham
Relative value approach, choosing investments with the best value or yield for a given level of risk
Credit investment specialists
Invests in institutional quality asset classes that diversify risk; syndicated loans, high yield bonds, convertible bonds, capital securities, and asset backed securities
Actively manage credit risk in our portfolios. Actively manage interest rate risk also in the Global Income Fund
Strong focus on portfolio diversity and liquidity
Innovative, with a strong team and high quality systems
Connected to a deep pool of Wall Street and London credit analysts
Aligned with our investors to generate long-term returns
Unique Australian perspective on global credit markets
Generate regular monthly or quarterly income for investors
Long performance track record with supportive researcher ratings