Meet our fund side.

Our products utilize the strategies we executed for decades in banks and big institutions.

This gives us a significant advantage over traditional fixed-income funds.

For more information, contact us at [email protected]

Algonquin Debt Strategies Fund

This Fund offers investors higher yields and return potential without sacrificing quality.

Rather than searching for yield in lower-quality securities, we focus on extracting value from investment-grade credit. Our approach isolates the credit exposure of high-quality, large-cap companies while minimizing interest rate risk.

The result is the opportunity to earn attractive returns with a high degree of security and transparency.

For those investing through holding or operating companies, there is the added bonus of potential tax efficiencies, with returns characterized as active business income.

Algonquin Fixed Income 2.0

The evolution of fixed income: a core corporate bond fund with engineered advantages that give us a performance edge.

This Fund’s primary objective is to get investors better outcomes from their core fixed income. We do so by employing strategies that give us a greater ability to generate excess returns and manage downside risks.

The result is a core fixed-income product that seeks to outperform traditional bond funds.

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