Many factors must be considered when building an optimal portfolio. Our fixed income team uses the macroeconomic landscape, relative value between sectors, and issue level risk/reward analysis as inputs to make portfolio decisions such as portfolio duration, sector contribution to duration, yield curve positioning and structure exposure.
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Experienced Portfolio Management Team
Portfolio managers average 17 years of investment management experience
Performance Incentive Plan
Aligns managers’ and clients’ interests to reward long-term performance