our SERVICES
Core Government / Credit
- Investment Objective
- The investment objective of this strategy is to minimize downside risk in any environment and maintain consistent quarterly total returns over an intermediate to long term investment horizon. The firm seeks to satisfy future operating or liability funding requirements in the most efficient present value terms within the client’s investment risk constraints. The firm employs a value-oriented comprehensive portfolio management approach which blends together the investment techniques of active duration management, market sector rotation and undervalued security selection. Portfolio security selection is primarily focused on investment grade fixed income obligations.
- Instruments
- U.S. Treasury debt obligations
- U.S. Agency debt obligations
- Investment grade corporate debt obligations
- Mortgage and asset backed debt obligations
- Foreign debt obligations
- Benchmark
- Barclays Capital Government / Credit Bond Market Index