We actively work with you to craft the right liquidity strategy and maximize opportunity through segmenting short term investments and leveraging solutions across the full ultra-short spectrum.
Delivers a low volatility strategy, through funds or managed accounts, which seeks to provide an additional return over money market funds.
Maintains a moderate level of volatility, via funds or managed accounts, potentially offering an additional return over a low duration market index.
To achieve a return in excess of US money markets by investing primarily in USD denominated short-term debt securities.
The Sub-Fund aims to provide current income while seeking to maintain a low volatility of principal.
To achieve a return in excess of US short duration bond markets by investing primarily in US investment grade debt securities, including asset-backed and mortgage-backed securities.
To achieve a return in excess of global short duration bond markets by investing primarily in global investment grade short-term debt securities, using financial derivative instruments where appropriate.