Guggenheim Investments

Investments

Guggenheim Investments is the investment management business of Guggenheim Partners. We invest across a diverse set of asset classes with a singular mission: to serve as superior stewards of capital and trusted advisors to our partners and our clients. We offer clients a wide range of differentiated capabilities built on a proven commitment to investment excellence.

Core beliefs:

  • Rigorous research and a deep understanding of risk are the cornerstones of our capabilities
  • Investing alongside our clients aligns our interests with their success
  • Delivering a superior client experience requires sophistication in all aspects of client interaction
  • Our people are our advantage and we must continuously attract and retain talent

 

 
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INSTITUTIONAL OFFERINGS

Fixed Income
Our goal is superior risk-adjusted returns to protect and grow our clients’ capital.


Equities
Guggenheim’s equities offerings span asset classes and investing styles.


Alternatives
Guggenheim’s alternative strategies can help clients diversify sources of return.


Hedge Fund Managed Account Solutions
Guggenheim’s independent managed account platform is intended for institutional investors looking for customized hedge fund managed account solutions.


Intermediary Web Site


Macro View

Normalize to What?

Despite a disconcerting, growing consensus among investors, the likelihood of a sudden increase in U.S. interest rates is fairly remote for now.
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Sector Report

High Yield and Bank Loan Outlook - July 2014

Certain areas of leveraged credit are overvalued, particularly CCC-rated bonds and bank loans, but often some of the best profits come in the final phase of a cycle. With valuations frothy, we believe now is the time to start moving up in credit quality. Our analysis finds value in BB-rated and B-rated bonds and we are most positive on BB-rated and B-rated bank loans, where discount margins still trade wide of ex-recession averages.
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Market Perspective

Central Banks Chart a Course for Overheating

When bull markets mature, investors fear a coming crisis. Today there are plenty of candidates from Europe to China to Thailand. But bull markets climb a wall of worry and there are reasons now not to expect a looming crisis.
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