Multi Sector

Investment Goal

We seek to produce attractive risk-adjusted total returns above the broad fixed income market by investing primarily in U.S. fixed income securities across the government, corporate and structured markets, supplemented with U.S. high yield bonds and international bonds in both developed and emerging markets.

Our Approach

While the macro environment may change, our philosophy in seeking alpha remains the same: remaining neutral on duration, avoiding interest rate bets, and employing rigorous bottom-up analysis to identify undervalued credits.
€5 Bn1
Multi Sector assets

Related Strategies

Multi-Sector Fixed Income

AUM

€316.0 M

Index

U.S. investment grade bonds are supplemented with allocations to sovereign and corporate debt in both developed and emerging markets, and structured products.

Inception Date

10/1/2006

Get in touch with a MetLife Investment Management professional

1 As of June 30, 2024. At estimated fair value. Includes all assets managed by the MIM fixed income core based and multi-sector investment team (including assets managed in the related investment strategies shown above).

Investors should carefully consider their investment objectives, risks, fees, charges and expenses before investing any money. To obtain this and other information, please email icg@metlife.com to request more information. Please review the Terms of Use of this site for additional details.