Strategies & Solutions

Multi-Sector Fixed Income

Key characteristics: • Team-based collaborative approach between portfolio management and research • Analysts cover issuers across the full credit quality spectrum • Extensive structured research experience and capabilities • Business cycle-informed portfolio management approach • Risk-focused mindset

Structured Finance

Key characteristics: • Team-based collaborative approach • Extensive structured research experience and capabilities • Credit cycle-informed portfolio management approach • Risk-focused mindset

High Yield

Key characteristics: • Differentiated research framework • Business cycle-based investment approach • Experienced team, consistent process

Bank Loans

Key characteristics: • Multi-pronged research framework • Emphasis on downside risk management • Experienced team, consistent process

Credit Opportunities

Key characteristics: • Business cycle-based investment approach • Deep bankruptcy and restructuring experience • Broad research capabilities, global perspective

Emerging Markets Debt

Key characteristics: • Qualitative research enhanced by quantitative analytics • Asset type agnostic, relative-value approach • Diverse and experienced team

Liability-Driven Investing

Key characteristics: • Ability to develop solutions for plans of all sizes and all stages of de-risking • Extensive experience constructing and managing to customized benchmarks, both asset-based and liability-based • Multi-sector fixed income solutions supported by experienced, long-tenured portfolio managers • Research teams covering fixed income assets across the yield curve and credit quality spectrum