Corporate Bond Strategy

There are ‘pockets of value’ in the fixed income market. Thorough credit and curve analysis enables us to identify and exploit these pockets of value in the pursuit of long-term returns, while minimizing downside risk. Within this conservative framework we apply our creativity to generate innovative investment ideas, and develop state of the art portfolio management techniques, allowing us to remain at the forefront of the investment industry.

Strategy Features

  • Focused exposure to high-quality, attractively valued corporate bonds
  • Enhanced total return opportunity through an active approach to credit, sector and security selection
  • A dedicated investment team, backed by one of North America’s largest global credit research groups