The Quality High Yield Fixed Income strategy seeks to achieve long-term total rate of return consistent with preservation of capital.
Strategy Description
The strategy seeks to achieve a long-term total rate of return consistent with preservation of capital. We focus on bonds rated BB as we believe they can deliver higher return with less default risk than lower-rated bonds. In addition, our credit research and stress testing of issuers are designed to help preserve capital during volatile or down markets relative to the overall high yield market. We integrate Environmental, Social and Governance factors into our fundamental research process.
Approach
Fixed Income Team
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