Fixed income

Buy and maintain credit

This flexible, benchmark agnostic strategy invests in corporate bonds that display attractive value and credit quality designed to help investors match their cashflow requirements.

Our approach to investing focuses on identifying a diversified portfolio of corporate bonds that we believe will generate consistent and reliable income over time, while also offering attractive value based on our assessment of credit risk. The process draws upon our deep expertise in fundamental, bottom-up credit research.

Low-turnover, combined with ongoing oversight of the value-to-risk balance of the portfolio, can help clients achieve their long-term cashflow objectives.

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