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Geoff Castle

Lead Portfolio Manager, Fixed Income

Geoff Castle is the Lead Portfolio Manager, Fixed Income, having managed the Pender Corporate Bond Fund since September 2015.  He also manages the Pender Bond Universe Fund and Pender Credit Opportunities Fund.

Geoff’s career as a professional investor spans two decades and includes experience in both public mutual funds and proprietary investment fund management for ultra-high net worth individuals.

His area of expertise is in fundamental business analysis and valuation which he applies to credit markets to find enhanced yield or price appreciation opportunities in situations where substantial margins of safety exist.

Geoff’s philosophy involves controlling risk through careful consideration of credit duration and fixed charge coverage, and the fair valuation of each security class on an as-liquidated basis. Geoff also has been an active proponent of the use of objective, market- and fundamentals-derived risk measurement systems, which he believes are more useful than agency credit ratings.

Geoff holds a Bachelor of Arts degree from UBC and a Master of Business Administration from the Richard Ivey School of Business at the University of Western Ontario.

Recent posts
Pender Corporate Bond Fund - September 2026

The Pender Corporate Bond Fund had a drawdown of -1.3%1 in September within the context of an aggressive rise in benchmark yields in every major market. Duration-sensitive bonds, which do not form a particularly large portion of the portfolio, experienced significant price declines. Our holding in the longer dated 2052 US TIPS was down over […]

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Pender Corporate Bond Fund - August 2026

The Pender Corporate Bond Fund enjoyed a positive month in August, returning 1.6%1 within the context of a fairly benign credit market that was buffeted at points by rising benchmark yields. Precious metals exposure led the charge for the Fund, with our position in the convertible notes of South African platinum miner Sibanye Stillwater Ltd. (SBSW) […]

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Pender Corporate Bond Fund - July 2026

The Pender Corporate Bond Fund dipped just slightly below breakeven in July (monthly return was -0.02%1) within the context of a negative fixed income environment that was afflicted by rising benchmark yields across the curve. The relative strength the Fund experienced was due, in large part, to our positioning in the oil and gas sector, […]

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Pender Corporate Bond Fund - June 2026

The Pender Corporate Bond Fund ended the month of June down -0.7%1, a result driven primarily by individual line-items which offset the generally positive price environment in the bond market over the period. The most significant area of weakness for the Fund in June was oil and gas issuers, including equity-sensitive convertible lines in Borr […]

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Pender Corporate Bond Fund - May 2026

The Pender Corporate Bond Fund enjoyed solid performance in May, delivering a total return of 2.1%1. This return was within the context of generally strong bond market conditions as benchmark yields retreated from recent highs and credit spreads were largely unchanged. Leading the way for the Fund again in May was our position in the […]

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Pender Corporate Bond Fund - April 2026

The Pender Corporate Bond Fund enjoyed a positive month in April, returning 1.5%1 for the period. This return was within the context of generally strong credit market conditions as expanding global growth and expectations for a relatively quick end to the Iran conflict buoyed prices. Leading the way for the Fund was our position in […]

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