Multi-sector income
Driving your yield potential through our active multi-sector approach
Why now is the time to use a multi-sector approach for fixed income:
The investable fixed income universe is vast, spanning numerous sectors and industries, making portfolio construction complex.
A multi-sector approach offers several advantages:
Broad Exposure |
Enables exposure to the extensive fixed income market.
Risk Management |
Helps balance and diversify key risk factors.
Enhanced Returns |
Can improve both absolute and risk-adjusted returns long-term.
Considering these points, a multi-sector strategy can be a powerful tool for investors looking to navigate the intricate world of fixed income investing effectively.
The value of an investment and the income from it may go down as well as up and you may loose the amount originally invested.
Our strategy is designed to:
Construct a portfolio of best ideas across all fixed income sectors
Actively add alpha through dynamic sector allocation and bottom-up security selection
Seek similar yield to high yield funds with significantly less risk by balancing interest rate and credit risk

