The Muzinich Story

We view credit as a separate and distinct asset class that is uniquely positioned to provide an opportunity for attractive, low volatility returns.

Over the years the firm has broadened its credit based investment programs and has leveraged its credit expertise to become active in corporate investment grade, senior loan and alternative credit/absolute return strategies.

Our Milestones

year event
1988 Muzinich & Co is founded in New York
1990 Launch of first U.S. High Yield Fund
1999 European Headquarters founded in London
2000 Launch of European High Yield Strategy
2003 Launch of Global High Yield Strategy
Launch of first Investment Grade Corporate Plus strategy
2004 Launch of first Credit Alternative strategy
2005 Office opened in Cologne, Germany
2006 Launch of U.S. Senior Loan Strategy
2009 Muzinich becomes a signatory to the UN Principles for Responsible Investment
Office opened in Paris, France
2010 Launch of ESG Credit strategy
Launch of U.S. Short Duration High Yield Strategy
2012 Inception of Private Debt initiative
Launch of Long/Short Credit strategy
2013 Launch of first Emerging Market credit strategy
Launch of Global Tactical Credit strategy
Office opened in Zurich, Switzerland
2014 Launch of country-specific European private debt strategies in Italy, Iberia, UK and France
Offices opened in Milan, Italy and Madrid, Spain

The Funds are offered to United States residents, and information on this site is intended only for such persons. Nothing on this website should be considered a solicitation to buy or an offer to sell shares of any Fund in any jurisdiction where the offer or solicitation would be unlawful under the securities laws of such jurisdiction.

Please refer to the Credit Opportunities Fund prospectus, the U.S. High Yield Corp Bond Fund prospectus and Low Duration Fund prospectus for important information about the investment company including objectives, risks, charges, and expenses. Read each of the Fund documents carefully before investing. You may also obtain a hard copy of the prospectus by calling 1-855-689-4642.

Mutual fund investing involves risk. Principal loss is possible. Investments in the fund include risks associated with debt securities, lower-rated and non-rated securities, foreign securities including emerging markets, derivatives, floating rate loans, turnover risk, leverage, securities with liquidity risk and investments in other funds or ETFs. Please refer to the prospectus for additional information about the risks of investing in the fund.

The Funds are distributed by Quasar Distributors, LLC.

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