Value equity and credit research from Hotchkis & Wiley.
Hotchkis & Wiley Portfolio Manager Hunter Doble appears on Investment News' "In the Nasdaq" with Gregg Greenberg to discuss the case for international and emerging market equities despite rising energy prices. The video presents a value-oriented perspective, cautioning investors against dismissing foreign stocks amid near-term energy price volatility.
Hotchkis & Wiley published estimated special capital gain distributions for its mutual funds as of June 2026, providing per-fund figures to help investors plan for tax obligations. The release is a standard fund administration update with no directional market commentary or investment thesis.
Hotchkis & Wiley Portfolio Manager Hunter Doble appeared on Asset TV's International Equities Masterclass to discuss international equity investing, covering topics including value investing, emerging markets, and key metrics such as P/E and ROE. The video format provides a general overview of H&W's international equities perspective as of May 6, 2026, with references to MSCI international and EM benchmarks relative to US equities.
Portfolio Manager David Green of Hotchkis & Wiley reviews the primary performance drivers of the Value Opportunities Fund as of February 2026, with a significant focus on the fund's strategic conviction in software holdings. The update is delivered as a ~14-minute audio/video podcast and references the Russell 3000 Value Index as the fund's benchmark.
Hotchkis & Wiley portfolio managers Mark Hudoff and Richard Mak review Q4 2025 high yield market performance, covering key drivers, market complacency, a looming maturity wall, and reductions in senior secured and SMID credit exposure. The update also assesses high yield fundamentals, technicals, and valuation, while sharing views on private credit.