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The Fixed Income Aggregate strategy seeks to maximize returns against the Barclay Capital Aggregate Bond Index by investing in corporate and government bonds, mortgage-backed securities and other fixed income asset classes.  This strategy includes a top-down approach and internal research, which are used to formulate an economic and interest rate forecast.  These forecasts function as a foundation to create the term structure, and sector allocation and duration targets.  The strategy is characterized by a typical average portfolio maturity of approximately 5-8 years.  The minimum security quality is "BBB."  The minimum average portfolio quality is "A."  A typical benchmark is the Barclays Capital Aggregate Bond Index.

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