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IVO Capital Partners is an independent French asset management company specializing in international credit. Founded in 2012, IVO Capital manages over €2.3 billion in assets (as of December 31, 2025) in listed and unlisted credit across multiple geographic regions, emerging markets, and Europe. IVO Capital provides access to diversified investment universes, offering transparency and profitability in demanding markets. The company distinguishes itself through active management by more than 30 multicultural and multilingual professionals and invests in over 50 countries. Controlled by its management, alongside leading partners, IVO Capital is driven by a strong spirit of excellence, transparency, and entrepreneurial DNA.

IVO Capital Partners is an independent French asset management company specializing in international credit. Founded in 2012, IVO Capital manages over €2.3 billion in assets (as of December 31, 2025) in listed and unlisted credit across multiple geographic regions, emerging markets, and Europe. IVO Capital provides access to diversified investment universes, offering transparency and profitability in demanding markets. The company distinguishes itself through active management by more than 30 multicultural and multilingual professionals and invests in over 50 countries.

IVO Capital was founded with a clear and singular purpose: to deliver sustainable performance through high-quality, collaborative management, driven by selectivity and agility in decision-making.
Michael Israel
President
IVO Capital was built with a unique and clear purpose: to deliver sustainable performance.
Michael Israel
President

OUR Awards

OUR FUND RANGE as of 30/01/2026

Emerging bonds

6.4
8.1

% YIELD
GROSS (EUR)
HEDGÉ)

2.9

DURATION

BB-

RATING

1122

AUM in M€

IVO EM Corporate Debt: IVO Capital Partners’ flagship bond fund, investing in emerging market corporate debt in hard currency, combining geographic flexibility with in-depth fundamental analysis of issuers.
1122

AUM in M€

IVO EM Corporate Debt: IVO Capital Partners’ flagship bond fund, investing in emerging market corporate debt in hard currency, combining geographic flexibility with in-depth fundamental analysis of issuers.

Emerging bonds

5.3
7.0

% YIELD
GROSS (EUR)
HEDGÉ)

2.5

DURATION

BB

RATING

307

AUM in M€

IVO EM Corporate Debt Short Duration SRI is a short-duration fund focused on emerging market corporate debt, combining yield-seeking with disciplined risk management. LuxFLAG SRI-labeled, the fund integrates environmental, social, and governance (ESG) criteria into its investment process, offering a responsible and sustainable investment solution.
307

AUM in M€

IVO EM Corporate Debt Short Duration SRI is a short-duration fund focused on emerging market corporate debt, combining yield-seeking with disciplined risk management. LuxFLAG SRI-labeled, the fund integrates environmental, social, and governance (ESG) criteria into its investment process, offering a responsible and sustainable investment solution.

Emerging bonds

4.7
6.4

% YIELD
GROSS (EUR)
HEDGÉ)

1.6

DURATION

BB+

RATING

233

AUM in M€

IVO 2028: Fund maturing in 2028 in emerging market corporate bonds in hard currencies, to combine diversification and return.
233

AUM in M€

IVO 2028: Fund maturing in 2028 in emerging market corporate bonds in hard currencies, to combine diversification and return.

Emerging bonds

5.3
7.0

% YIELD
GROSS (EUR)
HEDGÉ)

4.7

DURATION

BB

RATING

10

AUM in M€

IVO Emerging Markets Debt Blend is a selection of hard currency (USD or EUR) corporate and sovereign bonds in emerging countries. Its objective is to outperform the JP Morgan Blend Hard Currency 50-50 ex-CCC index over a recommended investment horizon of 3 years.
10

AUM in M€

IVO Emerging Markets Debt Blend is a selection of hard currency (USD or EUR) corporate and sovereign bonds in emerging countries. Its objective is to outperform the JP Morgan Blend Hard Currency 50-50 ex-CCC index over a recommended investment horizon of 3 years.

International bonds

7.9
9.7

% YIELD
GROSS (EUR)
HEDGÉ)

2.2

DURATION

B+

RATING

34

AUM in M€

IVO Global High Yield: Opportunistic strategy in high-yield international corporate bonds, in hard currencies, combining fundamental research and geographic flexibility.
34

AUM in M€

IVO Global High Yield: Opportunistic strategy in high-yield international corporate bonds, in hard currencies, combining fundamental research and geographic flexibility.

Euro bonds

4.0
5.7

% YIELD
GROSS (EUR)
HEDGÉ)

2.6

DURATION

BBB

RATING

63

AUM in M€

Launched on June 16, 2025, IVO Euro Flexible Short Duration SRI is a short-duration euro credit fund, combining controlled sensitivity, tactical allocation and a LuxFLAG-labeled approach to offer a high-performing and responsible alternative to prudent investments.
63

AUM in M€

Launched on June 16, 2025, IVO Euro Flexible Short Duration SRI is a short-duration euro credit fund, combining controlled sensitivity, tactical allocation and a LuxFLAG-labeled approach to offer a high-performing and responsible alternative to prudent investments.

Euro bonds

6.3
8.0

% YIELD
GROSS (EUR)
HEDGÉ)

2.4

DURATION

BB-

RATING

8

AUM in M€

The investment objective of the IVO Euro High Yield fund is to achieve, over the recommended investment period, an annual net performance (after fees) exceeding that of its benchmark index, the Bloomberg Pan-European High Yield Euro TR index, through the management of a portfolio of bonds mainly denominated in euros and of “high yield” quality.
8

AUM in M€

The investment objective of the IVO Euro High Yield fund is to achieve, over the recommended investment period, an annual net performance (after fees) exceeding that of its benchmark index, the Bloomberg Pan-European High Yield Euro TR index, through the management of a portfolio of bonds mainly denominated in euros and of “high yield” quality.

Emerging bonds

5.0
6.8

% YIELD
GROSS (EUR)
HEDGÉ)

2.7

DURATION

BBB-

RATING

155

AUM in M€

IVO IG 2030: 2030 maturity fund of medium-grade emerging market corporate bonds in hard currencies providing diversification & return.
155

AUM in M€

IVO IG 2030: 2030 maturity fund of medium-grade emerging market corporate bonds in hard currencies providing diversification & return.

Litigation Finance

48
1.7

CASE

78

% INVESTED IN EUROPE

100

% DEPLOYED

109

AUM in M€

ILS III is a litigation finance fund dedicated to financing commercial disputes, arbitrations, and class actions, primarily in Europe. The strategy relies on a rigorous selection of cases and operates through direct investments or co-investments. This product is reserved for professional investors.
109

AUM in M€

ILS III is a litigation finance fund dedicated to financing commercial disputes, arbitrations, and class actions, primarily in Europe. The strategy relies on a rigorous selection of cases and operates through direct investments or co-investments. This product is reserved for professional investors.

Litigation Finance

-
1.7

CASE

-

% INVESTED IN EUROPE

-

% DEPLOYED

-

AUM in M€

ILS IV is a litigation finance fund dedicated to financing commercial disputes, arbitrations, and class actions, primarily in Europe. Its strategy relies on a rigorous selection of cases and operates through direct investments or co-investments. This product is reserved for professional investors. (Fund launched on October 9, 2025)
-

AUM in M€

ILS IV is a litigation finance fund dedicated to financing commercial disputes, arbitrations, and class actions, primarily in Europe. Its strategy relies on a rigorous selection of cases and operates through direct investments or co-investments. This product is reserved for professional investors. (Fund launched on October 9, 2025)
We target diversified, resilient investment opportunities that are better aligned with a fragmented and multipolar world.
Sidney Oury
CEO

Contact us

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Profile : Not defined
Country : Not defined

Profile : Not defined
Country : Not defined