XXXXX | High Income Bond Fund

Why Invest

An actively-managed, diversified portfolio of high yield corporate debt that seeks to provide attractive current income and minimize downside risks with upside participation

Diversified Portfolio of the Team’s Best Ideas From the U.S. High Yield Market

Seeking competitive yield and attractive risk-adjusted total returns across all market cycles

Experienced and Well-Resourced Team

Lead portfolio managers have, on average, 20+ years of experience and are supported by one of the largest, dedicated research teams in the industry

Credit Analysis and ESG factors Integrated into Fundamental Investment Analysis

Credit analysis driven by proprietary “Credit Best Practices” with risk management overlay and proprietary NB Quotient ESG scores to seek to minimize credit risk

Fund Facts

Performance & Exposures

Returns & Distributions

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Portfolio Management Team

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