CVP’s core focus is on generating attractive absolute and risk adjusted returns in High Yielding and Opportunistic Corporate Debt investments in the senior debt obligations of U.S. and Western European corporate borrowers. CVP uses its considerable collective experience to navigate credit market cycles to pursue target investments and manage portfolio risk.

CVP employs fundamental, company-specific credit and valuation analyses in making investment selections. CVP also considers technical factors that may influence trading levels and pricing when executing its investments.
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