CREDIT INVESTING.
FOR A BETTER NOW.
Proprietary Models
We assess climate, social and credit risks using our own models rather than relying on aggregated third-party ratings.
Credit Discipline
As a credit manager, governance is part of our DNA. Sustainability enhances our credit view rather than constraining it.
Systematic
Risk Management
Clear issuer, sector and rating limits combined with a structured investment process ensure transparency and control.
Active
Engagement
We engage directly with issuers to manage risks, improve disclosure and support measurable transformation.
Our Fund Strategies

High Yield Social Transformation
Global high-yield strategy focusing on issuers contributing to social transformation, supported by active engagement.

Climate Transition
Investment-grade strategy investing in issuers aligned with climate transition targets.

Multi Credit
Flexible multi-credit strategy across investment grade, high yield and convertibles.
Sustainable Credit.
Actively Managed.
ESG-AM is an independent credit asset manager based in Zurich focused on actively managed fixed income strategies. We combine disciplined credit analysis with systematic integration of sustainability factors to manage downside risk and generate long-term returns.
“True investment success is not about timing political winds or chasing quarterly gains, but about committing to sustainable value that compounds over decades.” Philipp Good, CEO
Why Choose Us
Team Experience
Our team brings long-standing senior experience in credit management, portfolio construction and risk oversight. Independent thinking, disciplined execution and continuity define our investment culture.
Strong Partnerships
We work with a carefully selected network of independent credit research providers, data specialists and sustainability experts. These partnerships strengthen our analysis, enhance transparency and support robust investment decisions without compromising independence.
Investment Process
Our investment process is supported by established operational, risk and reporting frameworks. Clear governance, institutional-grade controls and reliable partners ensure efficiency, oversight and scalability.

