FINANZ Podcast

Alpha Searching in European Fixed Income (EN)

Episode Summary

This episode explores how active high‑yield credit strategies can unlock alpha in today’s rapidly evolving European fixed income landscape. The discussion focuses on disciplined credit selection, dynamic sector positioning and the role of experienced portfolio managers in navigating shifting macro conditions.

Episode Notes

The Eurizon Bond High Yield Fund targets European high‑yield issuers through a rigorous bottom‑up process, aiming to deliver attractive, risk‑adjusted returns over the medium term. The conversation provides a practitioner‑level view of how active management can capture opportunities in a market shaped by structural changes, dispersion and ongoing repricing.


🔎 Key Topics:


👤 Speaker: 
Filippo Guerzoni, Portfolio Manager, Eurizon 
Filippo is a Portfolio Manager within the Credit Strategies team, bringing over ten years of experience in the financial industry. His career began at BPER Banca and BNP Paribas. Before specializing in Eurizon’s High Yield funds, he worked in Macro Research Strategy and later in Investment Grade credit as both analyst and manager. He holds a Bachelor’s degree in Business Administration (Banking & Finance) from the University of Modena and Reggio Emilia and an MSc in Finance from Luiss University in Rome.

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📌 Further information on participating companies: Eurizon Capital: https://www.eurizoncapital.com/