XXXXX | Total Return Bond ETF

Why Invest

Core plus fixed income portfolio seeking to outperform its benchmark over market cycles, driven by multiple alpha sources

Dynamic & Diverse Sector Allocations

Utilize a broad opportunity set of fixed income sectors—not limited to benchmark sectors

Efficient Use of ‘Plus’ Sectors

Avoid static overweights to below-investment grade and emerging markets—dynamically adjust allocations based on portfolio managers’ relative value views

High Conviction Security Selection

Aims to be additive across credit market environments—best ideas approach built upon sector specialty research teams

Active Duration Management

Active management of interest rate and yield curve exposures within a moderate band—normally ±2 years of the benchmark

Fund Facts

Performance

Returns & Distributions

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Weighted Average DURATION (YEARS) As of 03/31/26

5.76

Weighted Average Maturity (YEARS) As of 03/31/26

7.70

Portfolio Management Team

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