Profiting from market volatility

Location Date: 
Financial Post, June 2013

The portfolio managers at Raven Rock Capital utilize a strategy that thrives on price volatility, so recent market turbulence isn’t necessarily a bad thing.

The Chapel Hill, N.C.-based firm invests in a wide spectrum of credit qualities and across issuers’ entire capital structures, primarily high-yield bonds, convertible bonds and leveraged loans.

The Raven Rock Income Fund, which is offered through Toronto-based Arrow Capital Management, and the Raven Rock Credit Fund for U.S. institutional clients, are run using two sub-strategies.

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