About Us

Background company information

Elgin specialises in managing corporate credit risk in the European capital markets. Elgin believes that the application of a disciplined investment process that encompasses diligent fundamental proprietary research as well as prudent risk management will lead to superior credit selection. This process, when properly applied, will yield attractive risk-adjusted total returns.

Elgin's management believes that Fundamental research is the most important factor behind managing a portfolio of corporate obligations. This research is conducted in a variety of ways encompassing proprietary company models, direct corporate contact and also utilising third party advisors as well as rating agencies.

Strong knowledge of financial markets and instruments complement fundamental research. Collectively the members of the team have extensive hands-on experience across all facets of the capital markets.

Strong knowledge of financial markets and instruments complement fundamental research.