Long/Short Credit Print

Our Long/Short Credit Fixed Income strategy seeks to generate total return in all market environments by using credit based strategies and minimizing interest rate duration exposure. We consider this an unconstrained, multi-sector, credit strategy comprising liquid corporate credit, bonds, bank loans, credit default swaps, emerging market sovereign, and non-dollar denominated credit. There are no minimum or maximum gross exposure limits. The strategy will invest in investment grade and below investment grade securities.

Assets Under Management:
$65.3 million1
Portfolio Leadership Team:

Inception Date:
February 1, 2011
Available Vehicles:

Separately Managed Accounts

Strategy

Characteristics

Performance