The firm’s ethos is to identify opportunities and execute ideas with conviction and fluidity in an unconstrained format helping it deliver attractive risk-adjusted returns throughout ever changing credit cycles.
Quish & Co employs a variety of strategies from long-only carry focused, to relative value, and event driven strategies across capital structures.
The investment team focuses on marrying rigorous fundamental credit research with a strong understanding of macro trends to deploy capital within a stringent risk framework.
This allows for a repeatable and consistent investment process to help generate alpha whilst preserving its investors’ capital.
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