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The difference is in the detail

TwentyFour Asset Management specializes in fixed-income investing and is a London-based, independently operating subsidiary of Vontobel. The company has a well-diversified client base in the institutional and fund business. Their robust investment process and highly transparent products generate attractive, risk-adjusted returns, with a strong focus on capital preservation.

TwentyFour’s specialists are recognized opinion leaders in the field of flexible bond strategies, and asset-backed and mortgage-backed securities. They publish one of the most prominent fixed-income blogs and are dedicated to informing and educating investors. Their insightful views across a broad range of related themes are often cited in the financial media. All their investment professionals have invested a share of their own financial wealth in their funds, underpinning their belief in their own capabilities.

"Performance is our number one objective"

Mark Holman, CEO of TwentyFour Asset Management

   

Who are TwentyFour?

Why TwentyFour?

   

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Asset Backed Securities

As pioneers in the ABS market, key members of the TwentyFour team have been involved in the European ABS markets since its first securitizations in the late 1980s.

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Strategic Income

The Strategic Income strategy provides an attractive level of income and an opportunity for capital growth by investing in a broad range of bonds from the diverse fixed-income universe.

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Outcome Driven

The outcome driven strategy aims to deliver world-class risk-adjusted returns for portfolios managed against a reference index, or which seek a defined targeted return.

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Back in 2011 we published our first blog post. Since then, we have provided a diverse offering of commentaries from global, political and macro outlooks, to a description of the latest bank call structure.

Blogs , Fixed Income by Rob Ford

Cautious Optimism in ABS

Nearly 4,000 international ABS market participants attended the Association for Financial Markets in Europe’s Global ABS Conference last week, the biggest attendance since the financial crisis.  Despite being billed as “Global”, the European location and hosts meant that the vast majority of topics discussed were focused on European securitisation.

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Blogs , Fixed Income by Aza Teeuwen

CLOs 5 years on

Five years ago, the European CLO market restarted when Cairn issued the first post-crisis CLO in Europe – the start of the 2.0 market – and after a slow first year we have seen plenty more CLOs coming to market from a large mix of legacy and new managers.

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