No data available
Strategy
Investment Approach
- Focus on BB/B securities, with a measured allocation to lower-quality bonds when valuations are compelling.
- Proprietary fundamental research is key — emphasis on industries that enjoy stable cash flow and rational competitive environments.
- Extensive analyst interaction across sectors and asset classes promotes broad credit perspective.
- Disciplined risk management practices employed in conjunction with broad portfolio diversification to manage risk profile.
- Full integration of Environmental, Social, and Governance (ESG) factors in the investment process to seek to enhance investment decisions.
Past performance is not a reliable indicator of future performance.
Annualised Performance
Please Note
There is currently limited Annualised Performance data for this fund. Please contact us for more information.
Current Year Performance
Please Note
There is currently limited Current Year Performance data for this fund. Please contact us for more information.
Portfolio Characteristics
No data available
Calendar Year Performance
Please Note
There is currently limited Calendar Year Performance data for this fund. Please contact us for more information.
Top 10 Holdings
No data available
Credit Quality
Please Note
There is currently limited Credit Quality data for this fund. Please contact us for more information.
Maturity
No data available
No data available
No data available
No data available
Risks
Typical Investor