We offer our clients our experience and know-how in investing in specialised segments of bond and credit markets.
We focus in assets with contractual cash flows (payments of interest and principal, etc.) and perform in-depth analyses of events and scenarios, which could have an adverse impact over the holding period.
Risk management is the cornerstone of analysis at Cartesia.
Proposed investments are selected with a view to holding them over the medium-term or to maturity.
At Cartesia, we base our investment decisions on in-depth credit analysis, combined with detailed, technical analysis of the selected securities or structures.