Over the years the firm has broadened its credit based investment programs and has leveraged its credit expertise. Our global presence and deep resources allow us to offer a broad range of corporate credit investment strategies across both developed and emerging markets, and across both public and private debt.

Our strategies target income generation and long term capital appreciation with limited volatility.

2018Muzinich celebrates its 30th anniversaryLaunch of Asia High Yield StrategyEmerging Markets Short Duration Strategy reaches 5th anniversary
2017Launch of European Senior Loan StrategiesLaunch of Regular Duration Emerging Markets StrategyLaunch of Pan-European Private Debt PlatformOpening of Dedicated Singapore Office
2014Launch of country specific Private Debt strategies in Italy and IberiaHire 100th global employee and opening of 7th office worldwide
2013Muzinich celebrates its 25th anniversaryGlobal Tactical Credit is added as a new absolute return strategyExpand into Emerging Markets and launch of first Emerging Markets credit strategy
2012First Long/Short credit strategy broadens offeringMiddle-Market debt team established in New York
2010Signatory to the Principles for Responsible InvestmentBegin U.S. Short Duration High Yield strategyLaunch of Environmental, Social and Governance Credit Strategy
2006Launch of U.S. Bank Loan strategy
2003First Credit Alternative strategy initiatedFirst Investment Grade Crossover complements high yield strategy
2000European High Yield strategy launched
1999European HQ founded in London
1990Inception of first U.S. High Yield strategy
1988Muzinich & Co is founded in New York by George Muzinich