CQS Dynamic Credit
Multi Asset Fund

Fund Description

The CQS Dynamic Credit Multi Asset Fund is a flexible multi asset credit solution, combining bottom-up fundamental research and top-down asset allocation. It invests primarily across developed market corporate credit. The strategy seeks to generate high income and capital gains. It aims to protect on the downside, managing volatility through asset class and sector diversification, and the ability to dampen undesired portfolio risks though dynamic tactical asset allocation. The Fund is registered as Article 8 under SFDR - ESG considerations are integrated at every stage of the investment process.


Investor Benefits

Invests in high income assets with the aim of delivering high risk-adjusted returns.

Active interest rate duration management.

Volatility management: the Fund has a tactical strategy bucket designed to mitigate undesired risks.

Responsible Investment: the Fund is classified as Article 8 under the Sustainable Finance Disclosure Regulation (SFDR). This categorisation reflects the Fund's binding commitment to responsible investing.

$ 17.0 billion
Firm AUM
$ 8.3 billion
Strategy AuM
Multi Asset Credit
Strategy Focus
1999
Firm Inception
190
Employees
London, New York, Hong Kong
Office
Craig Scordellis
Craig Scordellis
Chief Investment Officer Credit

Craig is CIO Credit, responsible for CQS’ Multi Asset Credit business. He is a Senior Partner and chairs the Multi Asset Credit Asset Advisory Committee. Craig previously headed global loans and was responsible for managing the Firm’s loan mandates, including those in a variety of multi asset credit funds and collateralised loan obligations. Prior to joining CQS in 2008, Craig was a Senior Investment Analyst and Assistant Portfolio Manager at New Amsterdam Capital Management, a credit hedge fund. Before this, he was an Associate at the Royal Bank of Scotland where he structured leverage finance and high yield bond transactions. Prior to RBS, Craig was on the Deutsche Bank Investment Banking graduate program. Craig holds a BSc (First Class Hons) in Business Administration from the University of Bath.

Darren Toner
Darren Toner
Head of Long-Only High Yield IG & Financial Portfolios

Darren is responsible for managing High Yield, Investment Grade and Financial strategies at CQS. He additionally works as Assistant Portfolio Manager for the CQS Credit Multi Asset Fund, alongside Craig Scordellis. Darren is a Partner of CQS (UK) LLP. Prior to joining CQS in 2010, Darren worked at GE Capital in London within the leveraged finance business, where he joined the graduate scheme in 2005. Darren holds a BSc (First Class Hons) in Economics and Finance from University College Dublin.

Key Statistics

MTD (30/06/2026)

0.47%

NAV (30/06/2026)

118.39

YTD (30/06/2026)

2.39%

AuM (30/06/2026)

$1.2 billion

3 Year cumulative return

-

Inception Date

08/02/2021

The above performance is net of fees based on the CQS Dynamic Credit Multi Asset Fund Class I USD. The I USD share class' inception date was 08 February 2021. Past performance is not a guarantee for future results.