Capitalizes on all sources of fixed income return by allocating across the fixed income spectrum
Our absolute return methodology is based on a disciplined, relative value oriented, risk-controlled process. Our portfolio managers look across traditional and alternative markets while maintaining liquidity. Our flexibility allows us to take opportunistic positions across global fixed income markets to generate returns across market cycles.
Our unconstrained fixed income strategies allocate flexibly across the fixed income spectrum. Our portfolio managers harness the research of our global platform, combining top-down and bottom-up perspectives to build portfolios that bring our best thinking, through changing market conditions.