Investment Grade
Fixed Income
Our conservative approach avoids undue risk
and keeps the focus on long-term success.
Our conservative approach avoids undue risk and keeps the focus on long-term success.
Our fixed income team looks at the whole picture including the macroeconomic landscape, relative value between sectors, and issue level risk/reward analysis as input to make portfolio decisions such as:
• Portfolio duration
• Sector contribution to duration
• Yield curve positioning
• Structure exposure
Quality, stability, and predictability are the keys to our fixed income management strategy.
We invest in high-quality bonds to preserve principal and build unique portfolios to meet the diverse needs of our clients.