
Value-orientated global credit manager
Safety. Liquidity. Yield
Yield Opportunities Trust
GF Asset Management Pty Ltd is the Investment Manager for the Yield Opportunities Trust (ABN 40 738 221 510).
The Trust aims to provide investors with an absolute investment return via both capital growth and income by investing in global fixed-income instruments. We take a value-orientated, absolute return approach.
Recent Media
-
TACO Trade
03.06.2005
What the "TACO" trade means for bonds and why real yields have soared.
-
Bad Moody, Sour Auction
21.05.2025
Substantial bond market moves post U.S. sovereign debt downgrades and a sour auction and RBA cuts as expected.
-
Credit Underperforms, looks cheap
06.05.2005
Credit has underperformed equity markets in the tariff tantrum rebound
-
Bonds on sale
23.04.2005
High-risk-free rates and cheaper corporate debt boost bond market appeal despite volatility.
-
Bonds in demand
27.03.2005
Bond yields have risen by around 15 basis points recently, contrary to expectations amidst equity market volatility.
-
Safe harbour amidst market volatility
11.03.2025
Volatility is back as the U.S. economy slows and policy uncertainty increases. Opportunities are surfacing
-
Trump's tariff impact on bonds
17.02.2025
US trade tariff situation under President Trump. While media buzzes around tariffs, what are the key economic impacts of America first?
-
Deja Vu - France budget woes
03.12.2024
France budget woes Fiscal concerns in the U.S.
Budget impasse opens opportunities in French debt while U.S. fiscal concerns resurface
-
APRA Nukes the Hybrid Market
12.09.2024
Delve into the complexities of recent changes in bank capital markets and their far-reaching implications. Watch the discussion on Ausbiz.