Core Government Credit Strategies
Our core government credit strategies are designed for investors seeking to maximize risk-adjusted return and preserve capital.
We strive to achieve this by investing in corporate, municipal, Treasury, government agency, supranational, asset-backed and mortgage-related securities. We offer several core government credit strategies across the short to intermediate maturity spectrum. Managed in a separate account, the strategies employ active management, bottom-up credit research, opportunistic trading and proactive portfolio structuring. Customizations are available by benchmark, sector, maturity, duration and credit quality.