Polen Global High Yield

A high-conviction, research-driven approach to global high yield

The Polen Global High Yield Strategy is an actively managed, high-conviction fixed income solution designed to deliver total return combining high level of current income and capital appreciation through investments in global high yield securities. Drawing on the combined expertise within Polen Capital’s Credit platform, the Strategy employs a bottom-up, fundamental research process to identify idiosyncratic  attractively valued credits that offer favorable risk/reward characteristics with a meaningful margin of safety. The result is a focused, yield-advantaged portfolio built from higher-conviction ideas that seeks to  generate a reliable source of income while providing meaningful diversification within a broader fixed income allocation. 

Polen Capital

Manager

December 2025

Inception of Strategy

USD

Base Currency

Investment Philosophy

Polen Capital views the global high yield market as a compelling area where rigorous research, disciplined risk management, and selective risk-taking can generate durable results. The philosophy begins with a core belief: quality matters, even in high yield. The Strategy is grounded in the conviction that careful selection of fundamentally strong businesses—those with resilient business models, robust cash flows, prudent governance, and meaningful legal protections—can unlock sustainable value, regardless of prevailing market cycles or regional dynamics.

Polen Capital does not chase yield for yield’s sake. Instead, they seek opportunities where income potential is balanced with robust downside protection. A concentrated portfolio approach allows the highest-conviction ideas to have a more meaningful influence on performance, while fostering a thorough understanding of each holding through intensive company research and ongoing engagement.

A considered top-down framework - incorporating assessments of global macroeconomic trends, credit cycles, sector dynamics, and relative value - helps inform portfolio positioning and risk management practices. This shapes positioning across ratings, sectors, and duration, while security selection remains the primary driver of returns. Capital preservation lies at the heart of the process: bond structures, legal protections, and covenant analysis are examined through a holistic lens to mitigate downside risks. This blend of bottom-up selection and top-down awareness supports Polen’s aim of delivering attractive, risk-adjusted returns throughout the cycle.

The Team

The Strategy is led by by Portfolio Managers Ben Pakenham and Roman Rjanikov. The portfolio managers are supported by Polen’s 24-person Leveraged Credit team, which is based in Waltham, MA and London, UK. This integrated structure bolsters local market connectivity while maintaining a global perspective, enabling the strategy to draw on deep research capabilities and to source, analyze, and monitor investment opportunities across the global credit spectrum. Industry/Sector specialists, analyst conduct extensive fundamental research on the issuers they cover, regardless of their credit rating, size or capital structure.Their longstanding focus on issuer fundamentals, capital structures, and downside protection forms the core research engine of the Strategy.

Ben Pakenham

Polen Capital
Portfolio Manager

Roman Rjanikov

Polen Capital
Portfolio Manager