Strategies for Institutional Investors

Fixed Income

Guggenheim has $145 billion in fixed income assets. The experience and skill set of our 160+ member fixed income investment team is aligned with the belief that the most compelling opportunities can be found in complex, under-researched areas of the fixed income market. From underfollowed asset-backed securities to the direct origination of bank loans, our fixed income professionals cast a wider net than generic market indices to uncover value and manage risk.


Our equity strategies are rooted in a common belief: irrational investor behavior is consistent and predictable and creates inefficiencies in global equity markets. We deliver a broad range of portfolio management expertise and employ disciplined investment processes to exploit inefficiencies across different markets.


We help clients diversify their portfolios through an extensive range of alternative investment strategies. From opportunistic corporate and structured credit strategies to real assets and liquid alternatives, we provide investors with access to hard-to-reach market segments and deliver attractive absolute and risk-adjusted returns across different market environments.



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• Not FDIC Insured • No Bank Guarantee • May Lose Value

Guggenheim Investments Guggenheim Investments

Guggenheim Investments

Guggenheim Investments is the global asset management and investment advisory division of Guggenheim Partners, with $198 billion1 in assets across fixed income, equity, and alternative strategies. We focus on the return and risk needs of insurance companies, corporate and public pension funds, sovereign wealth funds, endowments and foundations, wealth managers, and high-net-worth investors.

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