Long Credit

  Aegon AM US Long Credit Overview

Objective 

The strategy seeks total return, consisting of income and capital appreciation

Benchmark

Bloomberg Barclays US Long Credit Index

Universe

Primarily focused on corporate bonds, mortgage-related securities, asset-backed securities, US government and agency securities, sovereign or agencies in both developed and emerging foreign markets, supranational entities, and debt obligations issued by state, provincial, county, or city governments or other municipalities

Inception Date

 April 1, 2017

Vehicles & Minimums

Separate account mimium: $50 million

Collective investment trust minimum: $1 million

Portfolio Management Team

     
     

Brad Doyle

Chuck Foster

Jeremy Mead

     

Siva Rajan

Brian Westhoff

 

As of 12/31/2019. Past performance is not indicative of future results. Returns are gross and net of management fees and include the reinvestment of all income. Returns beyond 12 months are annualized. Click here for a definition of the index.