3i Global Floating Rate Income Fund

The 3i Global Floating Rate Income Fund invests in a diverse global portfolio of primarily senior secured floating rate corporate credit assets, with exposure principally to North American and Western European issuers. Its aim is to generate current income, preserve capital for shareholders and seek capital appreciation when market opportunities arise.

Investment Strategy

  • The Fund focuses on investing in large performing borrowers that generate sustainable free cash flow and have experienced management teams.

Investment Team

  • Managed by a highly skilled and experienced team of investment management professionals in London and New York.
  • A Global Strategy Committee, consisting of Jeremy Ghose, John Fraser and Andrew Bellis, oversee the portfolio managers.
3i Global Floating Rate Income Fund
Portfolio Managers
David Endler
David Nadeau
David Fewtrell
Andrew Strong
Portfolio Manager