Oaktree’s Corporate Debt strategies invest primarily in the sub-investment grade debt of U.S. and non-U.S. companies. Our strategies focus on various debt instruments including high yield bonds, leveraged loans, mezzanine and private debt. While varied in investment objective and risk-return profile, each of our Corporate Debt strategies is grounded in Oaktree’s unifying investment philosophy, placing primary emphasis on fundamental credit analysis and risk control. U.S. High Yield Bonds Global High Yield Bonds European High Yield Bonds U.S. Senior Loans European Senior Loans European High Yield Bonds and Senior Loans Strategic Credit U.S. Private Debt European Private Debt Emerging Markets Debt Total Return Multi-Strategy Credit