The Long Government Credit Strategy is an investment grade, long duration bond strategy that seeks to preserve capital and prudently improve returns. Eligible investments include corporate, government related, and U.S. Treasury bonds. This strategy is designed for investors who have a longer term investment horizon and a greater tolerance for interest rate changes. The strategy employs active management, bottom up research and proactive portfolio positioning. The strategy minimum is $10,000,000.

The information above is current as of 12/31/25.

There is no guarantee that the strategies or customizations will achieve their objectives, lower volatility or be profitable. Client-driven modifications and customizations are subject to review and approval. Some modifications and customizations cannot be combined and/or require higher account minimums. All investments involve risk, including loss of principal. Diversification cannot assure a profit or protect against loss. No investment or risk management strategy can guarantee positive results or risk elimination in any market. Investments in values-aligned customizations are subject to proportionately higher exposures in certain types of risks.