Why invest with TwentyFour?

An investment with TwentyFour offers our clients a range of competitive advantages:

Our experience
There is no substitute for experience and we have an abundance of it throughout the firm, gained through several economic cycles – see ‘Our people’ for staff biographies.
 
Our specialism
All of our people are fixed-income specialists, from the partners to the operations staff, which means that all of our resources are focused on managing one asset class.
 
Our capability
Our portfolio managers are proficient in all fixed-income instruments and are highly derivative literate, enabling them to both take positions and mitigate risk in the most efficient way in varying market conditions.
 
Our attitude to risk
At TwentyFour we view each individual risk as a defined objective rather than merely a consequence of investing in markets. We therefore, for example, measure credit, interest rate and market risk separately, thereby ensuring the right combination of risks for the particular market environment.
 
Our independence
The absence of conflicts of interest, capacity constraints and ownership distractions enable us to remain 100% focused on our clients’ investment needs.