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Fixed Income
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Experience Our team has over 130 years of combined investment experience, and 8 team members hold CFA charters.
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Understanding We employ intensive in-house credit research and quantitative analysis, believing that our bottom-up fundamental research should allow our managers to incorporate their best ideas into our portfolios.
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Objectivity We selectively use Wall Street and third-party research for alternative views about the possible emerging risks of each security we invest in.
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Risk Management We leverage market-leading software and systems to model the risk and potential return of each portfolio we manage. Our unwavering goal is to achieve competitive investment returns while strictly controlling risk.
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Long-Term Results We are always searching for opportunities to out-perform our benchmarks, the broader market, and our peers.
Investment Philosophy Investment Professionals
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