📄 Extracted Text (155 words)
Investment Process: Investing and Portfolio Monitoring
The Portfolio Advisor will primarily pursue a hold-to-maturity strategy'
Investing and Portfolio
Origination Due Diligence Process
Monitoring
Minimize Risk
• Review investment performance quarterly, update
investment outlook, communicate with borrower
management
• Monitor wider market themes and sector trends.
assess impact on the Issuers Portfolio
Maximize Value Optimize Invested Tenor
Seek to optimize value from investments through • Structure and purchase investments within tenor
OID and other fee events during the life of the beyond the Reinvestment Period of the Issuer
investment • Negotiate prepayment protection where possible
Manage within Investment Guidelines
• Monitor Portfolio and assc:ss ,flveslments for
pro forma compliance with the Issuers Investment
Guidelines
(1) Strategy is indicative and subject to adaptation and change in particular contexts.
For illustrative purposes only.
Deutsche Asset Management Infrastructure Debt Presentation: RIN II Equity
March 2018 36
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e) DB-SDNY-0063254
CONFIDENTIAL SDNY_GM_00209438
EFTA01370446
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EFTA01370446
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