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Terms and conditions of use

Please read the IMPORTANT INFORMATION below before proceeding, as it explains certain restrictions on the distribution of information available on this website.

This website - hereinafter the "Site" - is operated by RAM Active Investments S.A. - hereinafter "RAM".

An investment in the RAM funds should only be made after reading carefully the details relating to the sale restrictions that can be found in documents such as Key Investor Information Document (KIID), the management regulations, latest prospectuses, annual and semi-annual reports. These documents can be all be obtained free of charge from the funds' representatives in each country where the funds are incorporated or registered. The latest versions of the prospectus, Key investor information Documents (“KIIDs”), annual report and semi-annual report translated into the language of your country of residence conform with any requirements laid down in the laws or regulations of that country.

The value of investments may be subject to fluctuations and, under certain circumstances, investors may not get back the full amount invested. Past performance is not an indication or guarantee of the future performance of the investment. The performance shown does not take account of any commissions or costs charged when subscribing to or redeeming units. For hedged shareclasses, only the investment fund's consolidation currency is hedged into the shareclass currency. Finally, changes in foreign-exchange rates may also cause the value of investments to go up or down. No information or material at the Site is to be relied upon for the purpose of making or communicating investments or other decision.

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Other people using the Site accept the following rules. 

This notice and the rules contained in this document are intended for all users of the Site.

The content of this Site is purely informative, and is not aimed at promoting the services of RAM. It is intended to provide general information about the company. No information appearing on this Site shall be deemed as a financial, legal, accounting, tax or investment advice or an offer for services or products, in particular investment funds, from RAM, nor as an offer or the solicitation for a purchase or sale of securities or of any other investment product. Nothing on this Site shall be deemed as a public call nor selling, whatever its form, qualification or denomination nor shall it be construed as a proactive behaviour from RAM towards third parties. Every contact with the Company from third parties must be considered as the latter's sole initiative.

Neither the investment funds nor RAM Active Investments SA provide investment advice to, or receive and transmit orders from, investors in the investment funds. They do not carry on any other activities with or for such investors that constitute "investment services" or "ancillary services" for the purposes of the Markets in Financial Instruments Directive.

Limitation of liability

RAM makes every effort to ensure that the information on this Site is accurate and complete at the time of its inclusion. However, although this information is obtained from sources that are believed to be reliable, RAM does not guarantee, explicitly or implicitly, that it is accurate, reliable, up-to-date or exhaustive. The information and opinions contained in the RAM Site are provided for personal use and informational purposes only and are subject to change at any time without notice. Nothing contained on the RAM Internet Site constitutes investment, legal, tax or other advice nor is to be relied on in making an investment or other decision. Any investment decision should be based on appropriate professional advice specific to the investor's needs. RAM assumes no responsibility for any direct or indirect loss or consequential loss suffered in connection with use of information contained in this Site.

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These documents may be obtained free of charge from the investment fund representative in the countries of domicile of the funds in question or in the countries in which the funds are registered.

Products and services described on this Site may be subject to restrictions for some persons or in some countries. It is incumbent upon interested persons to take all appropriate steps to ensure that they do not solicit RAM for products and services which, due to the laws of their native country, or of any other country they may be concerned with, may be forbidden or require special authorization for such persons or for the company. It is the responsibility of readers of this disclaimer to ascertain that access to this Site is authorized from the country from which he/she is connecting.

Under no circumstances, including but not limited to negligence, shall RAM be liable for any special or consequential damages that may result from the access to or use of, or the inability to access or to use, the materials at the Site.

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You will be required to indicate your place of residence before being allowed to access information relating to the said investment funds. Please note that access by private investors to the said information shall be limited to the investment funds authorized for sale to the public in their country of residence. Consequently, your access is limited to funds registered for sale in your country of residence.

 The “Investment Funds” pages are not addressed to U.S. Persons. RAM investment funds have not been or will be licensed for marketing, offer or sale to the public in the United States in accordance with the US Investment Company Act of 1940 or the US Securities Act of 1933.

The above-mentioned investment funds must not in any circumstances be offered or distributed: (i) in the United States of America, in any of its States or in any other political subdivision of the United States of America, or (ii) to or on behalf of or for the benefit of any United States Person (as defined in Regulation S of the "United States Securities Act" of 1933).

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For Singapore investors, the investment funds mentioned in this website are not authorized or recognized by the Monetary Authority of Singapore and are not allowed to be offered to the retail public. They are exclusively intended for (i) institutional investors as defined under Section 304 of the Securities and Futures Act, Singapore Statute Cap. 289 ("SFA"), (ii) to a relevant person pursuant to Section 305(1), or any person pursuant to Section 305(2), and in accordance with the conditions specified in Section 305, of the SFA, or (iii) any other person otherwise pursuant to, and in accordance with the conditions of, any other applicable provision of the SFA.

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All RAM entities are based out of the United Kingdom and therefore not covered by the standards and regulations for investor protection issued by the Financial Conduct Authority. UK residents have no right to claim compensation through the Financial Ombudsman Service following losses resulting from failure to comply with certain obligations arising from the relevant regulations.

Tax

Tax treatment depends on the personal circumstances of the investor and is subject to change. Investors are advised to seek specific professional advice before making any investment decision.

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News & Insights
News & Insights
News
News

Press Release: RAM Active Investments Launches New Credit Target Maturity 2030 Fund

RAM Active Investments (‘RAM AI’) announces the launch of its credit target maturity fund, the RAM High Income Credit Opportunities TMF*2030.[1]

Building on the RAM Strata Credit Fund’s[2] six-year track record and experience, RAM AI’s credit team is expanding its offering with the aim to provide investors with yield visibility, a disciplined risk management framework through a high-conviction portfolio of European credit instruments, assembled in a fund maturing in December 2030. The new strategy leverages the team’s expertise in managing European crossover credit, a discipline where they have delivered since the RAM Strata Credit Fund’s inception in 2019.

‘After the success of our RAM Strata Credit Fund, we’ve seen strong interest from clients for more visibility and simplicity in their credit allocation,’ said Frank Goasguen, Chief Executive Officer. ‘This launch represents a natural extension of our European credit expertise, with the aim to offer investors transparency and clarity on yield within a target maturity structure.’

Key features of RAM TMF*2030 include:
• Target maturity: December 2030
• Focus on crossover and high-yield European credit
• Diversification across sectors and issuers
• Active, benchmark-unconstrained selection
• Daily liquidity, full UCITS compliance

‘We see this as a smart blend between our core credit beliefs and the practical needs of investors,’ said Fabio Vanerio, Lead Credit Portfolio Manager. ‘The fund is structured with the objective of  allowing investors to benefit from today’s level of yields while naturally de-risking over time.’

About the Fund Managers
Fabio Vanerio, Lead Credit Portfolio Manager with over 20 years of experience, has managed the RAM Strata Credit Fund since its inception in 2019.
Vincent Ollivier, Credit Portfolio Manager with over 10 years of experience, has co-managed the RAM Strata Credit Fund since 2021.

[1] RAM (LUX) TACTICAL –HIGH INCOME CREDIT OPPORTUNITIES TMF*2030

[2] RAM (LUX) TACTICAL II – STRATA CREDIT FUND

Luxembourg SICAVs, registered at 14 Boulevard Royal, L-2449 Luxembourg, are CSSF-approved UCITS. Prospectus, constitutive documents, financial reports and KIIDS can be obtained free of charge from the SICAVs’ Management Company’s offices, or at www.ram-ai.com. Marketing material: This release is not an offer, investment advice, or solicitation in any jurisdiction where it would be unauthorised or unlawful. Please consult your advisor before making any investment decisions.

Legal Disclaimer

This document has been drawn up for information purposes only. It is neither an offer nor an invitation to buy or sell the investment products mentioned herein and may not be interpreted as an investment advisory service. It is not intended to be distributed, published or used in a jurisdiction where such distribution, publication or use is prohibited, and is not intended for any person or entity to whom or to which it would be illegal to address such a document. In particular, the products mentioned herein are not offered for sale in the United States or its territories and possessions, nor to any US person (citizens or residents of the United States of America). The opinions expressed herein do not take into account each customer’s individual situation, objectives or needs. Customers should form their own opinion about any security or financial instrument mentioned in this document. Prior to any transaction, customers should check whether it is suited to their personal situation and analyse the specific risks incurred, especially financial, legal and tax risks, and consult professional advisers if necessary. The information and analyses contained in this document are based on sources deemed to be reliable. However, RAM AI Group cannot guarantee that said information and analyses are up-to-date, accurate or exhaustive, and accepts no liability for any loss or damage that may result from their use. All information and assessments are subject to change without notice. Investors are advised to base their decision whether or not to invest in fund units on the most recent reports and prospectuses. These contain further information on the products concerned. The value of units and income thereon may rise or fall and is in no way guaranteed. The price of the financial products mentioned in this document may fluctuate and drop both suddenly and sharply, and it is even possible that all money invested may be lost. If requested, RAM AI Group will provide customers with more detailed information on the risks attached to specific investments. Exchange rate variations may also cause the value of an investment to rise or fall. Whether real or simulated, past performance is not necessarily a reliable guide to future performance. The prospectus, key investor information document, articles of association and financial reports are available free of charge from the SICAVs’ and management company’s head offices, its representative and distributor in Switzerland, RAM Active Investments S.A., Geneva, and the funds’ representative in the country in which the funds are registered. This marketing document has not been approved by any financial Authority, it is confidential and its total or partial reproduction and distribution are prohibited. Issued in Switzerland by RAM Active Investments S.A. which is authorised and regulated in Switzerland by the Swiss Financial Market Supervisory Authority (FINMA). Issued in the European Union and the EEA by the authorised and regulated Management Company, Mediobanca Management Company SA, 2 Boulevard de la Foire 1528 Luxembourg, Grand Duchy of Luxembourg. The source of the above-mentioned information (except if stated otherwise) is RAM Active Investments SA and the date of reference is the date of this document, end of the previous month.

Glossary

Target maturity: a fund with a predefined end date (in this case, December 2030). It invests in bonds that mature around that date, allowing investors to know when they will recover their capital and to gain visibility on potential yield over the fund’s life.

Crossover credit: refers to corporate bonds that are rated on the border between investment grade and high yield.

High yield: corporate bonds issued by companies with lower credit ratings (below investment grade). They offer higher interest rates to compensate for a greater level of credit risk compared to investment-grade bonds.

Benchmark-unconstrained selection: an active investment approach where portfolio managers are not required to follow or replicate a market index. They can freely select securities based on conviction and risk assessment rather than benchmark composition.

Daily liquidity: investors can subscribe to or redeem their shares in the fund every business day at the fund’s daily net asset value (NAV). This provides flexibility and transparency, even though the underlying assets may have longer maturities.

UCITS compliance: The fund adheres to the European UCITS (Undertakings for Collective Investment in Transferable Securities) regulatory framework, ensuring a high level of investor protection, transparency, and diversification requirements applicable across EU jurisdictions.

Media Contact Information

Kristen Pinner  

RAM Active Investments SA

T: +41 58 726 87 89

E: kpi@ram-ai.com

ram-ai.com

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