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Investment Platforms

Credit Focused Funds:
Octagon manages private funds including high income, secured credit and structured credit funds.

Separately Managed Accounts:
Octagon currently manages below-investment grade corporate credit mandates on behalf of institutional clients. Each separately managed account is customized to meet client specifications with regard to liquidity, hedging and leverage preferences, risk and return objectives and regulatory and reporting requirements, among other considerations. Octagon subsequently determines portfolio and asset composition while maintaining an ongoing dialogue with the client to modulate risk as needed.

Collateralized Loan Obligations (CLOs):
Since its formation as a separate business entity in 1999, Octagon has managed CLOs spanning multiple credit cycles. Octagon is well respected in the marketplace as a leading manager of CLOs. Our funds attract large corporate & pension clients, financial institutions and other investors.

Closed-End Funds:
Octagon is the investment sub-adviser to XAI Octagon Floating Rate & Alternative Income Term Trust (XFLT), a NYSE-listed, registered closed-end fund designed for investors seeking attractive total return with an emphasis on income generation through investments in CLO debt and CLO equity securities, senior secured loans, and opportunistic credit. For additional information about XFLT, please contact XA Investments LLC or your financial advisor. Securities are not being offered by Octagon or Conning Investment Products.

 

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Octagon Credit Investors, LLC is majority-owned by Conning & Company. Conning & Company is also the parent company of Conning Investment Products, Inc., Conning, Inc., and Goodwin Capital Advisers, Inc. (collectively, “Conning”), each of which is a SEC registered investment adviser primarily for the insurance industry, and is an indirect subsidiary of Cathay Financial Holding Co., Ltd., a Taiwan-based company. Securities are offered through Conning Investment Products, Inc., an affiliated broker dealer and member of the Financial Industry Regulatory Authority (FINRA) and the Securities Investor Protection Corporation (SIPC).