The contents on the website is directed to financial advisers, registered investment advisers, broker dealers, investment consultants and institutional asset owners. Individual retail investors should consult with their financial advisers before using any of the content contained on this website. By clicking “I Agree” and accessing this website, you represent and warrant that you are agreeing to the above statement. In addition, you have read, understood and agree to the terms and conditions of this website.

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.