Corporate Bond

Investment Goal

Our strategies seek to generate attractive risk-adjusted returns in various parts of the U.S. investment-grade corporate market.

Our Approach

Focused on proprietary, fundamental credit research and bottom up portfolio construction seeking duration neutral portfolios with attractive risk/reward characteristics.
€8.3 Bn1
Corporate Bond Strategy assets

Related Strategies

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As of December 31, 2024. At estimated fair value. Includes all assets managed by the MIM fixed income corporate bond team (including assets managed in the related investment strategies shown above).

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