XXXXX | Core Bond Fund

Why Invest

Actively managed core bond portfolio that may be considered for the primary element of an investor’s fixed income allocation, seeking to provide income, stability and equity diversification

Go Beyond the Benchmark With An Active Approach

Utilizes a broader opportunity set of high quality, investment grade sectors than the Bloomberg U.S. Aggregate Bond Index

Multiple Sources of Potential Alpha

Seeks to add value through security selection, relative value sector allocation and, to a lesser extent, duration management

High Conviction Security Selection

Typically 50-80 corporate issuers in the Fund, compared with ~1,000 in the Bloomberg US Aggregate Bond Index

Fund Facts

Performance & Exposures

Returns & Distributions

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Portfolio Management Team

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