| Investment Style |
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High Yield is an actively managed bond portfolio that invests primarily in the upper tier of the below investment grade market. High Yield seeks maximum current income and price appreciation, while restricting our purchases to credits rated B3/B- and higher and generally maintaining an average quality of BB. |
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| Benchmark |
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Global High Yield Index |
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| Portfolio Duration |
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2-6 yrs |
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| Market Sectors
Utilized |
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Government, Corporate, Mortgage, Asset Backed, Derivatives. |
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| Value Added |
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High Yield seeks to add value through multiple sources including:
Credit Research Bottom Up Techniques to Identify Undervalued Securities Duration Management Utilization of "Nontraditional" Sectors Cost Efficient Trading |
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| For more information, please go to the
Contact Us page. |
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