High Yield Print

Our High Yield strategy seeks to outperform the benchmark while maintaining a similar level of volatility by investing primarily in U.S. corporate fixed income securities rated below investment grade. We believe that the global high yield market offers premium return potential that can be identified through credit research. Our deep credit research staff analyzes credits inside the high yield credit universe as well as other situations that may be attractive on a risk return basis that are not in the universe.

Assets Under Management:
$1,585.0 million1
Portfolio Leadership Team:

Benchmark:
ICE BofAML U.S. High Yield Master II Constrained Index2
Inception Date:
October 1, 2000
Available Vehicles:

Separately Managed Accounts

Strategy

Characteristics

Performance