INTRODUCTION
Our investment team members have an average of 17 years of experience and have worked
together since 2000. We have a history of combining fundamental research and quantitative
analysis within an environment that encourages innovation and creativity. Our investment
process integrates research and risk management in seeking to provide consistent long-term
performance.
- There are numerous methods to add value to a fixed income portfolio
including macro economic, credit and quantitative analysis
- It is important to diversify not only the portfolio, but all
active investments or "alpha" positions
- Risk management is an integral component of successful fixed
income portfolio management.
- Pioneering approach to multi-strategy portfolio management
- Each component of our multi-strategy approach is a stand alone
product, including currency
- Our credit team has been together since 1998