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Overview

The strategy seeks to maximize total return with an emphasis on managing risk. Focusing on global government, sovereign, quasi-sovereign, and corporate issuers, investing primarily in investment grade bonds.

Key Features

Enhanced Investment Process

Investment process aims to identify securities from issuers with favorable metrics, sustainable market positions and attractive relative value.

Tailored to Client Needs

The strategy offers a flexible global multi-sector fixed income investment.

Robust Risk Management

An ongoing and timely assessment of active risk in the portfolio helps to ensure that the risk/return profile is in-line with the team’s views of investment opportunities.

Other Strategies to Consider

Strategy Profile

Read more about our investment approach and management team

Contact us to learn about our investment capabilities