This strategy invests in investment grade-rated corporate bonds, and maintains an average portfolio credit rating ranging from A to BBB.
Investment Grade Credit
Our investment grade credit capabilities offer you diversified corporate credit investment solutions, with varying credit-quality exposure and duration, to meet your specific investing goals. Our investment approach combines in-depth fundamental and relative-value analysis with dynamic downside risk management. Portfolios are typically liquid, and biased toward larger issuers.
This strategy invests in corporate bonds with an average duration of 10 to 15 years and maintains an average portfolio credit rating ranging from A to BBB+.
This strategy invests in securities rated BBB and above utilizing high-conviction security selection and a thematically driven investment approach.