Across all of our strategies, we aim to construct portfolios of bonds and loans of high quality businesses in attractive industries that provide strong downside protection and good upside correlations. This philosophy is applied consistently across each of our core investment strategies.
Within each of the strategies, we can tailor a portfolio to the guidelines specified by our clients, and we can offer each of these strategies in unconstrained formats that allow for broader flexibility and additional tactical “levers” to more effectively position the portfolio depending on market conditions.