Our U.S. funds offer access to specialized strategies across global fixed income asset classes.
In managing our funds, we implement a team-driven investment philosophy rooted in deep expertise and rigorous fundamental analysis.
Our goal is to deliver excellence in investment management, which means unsurpassed service and attractive risk-adjusted returns for our clients.
Our actively managed strategy seeks to achieve a high total rate of return primarily from current income while minimizing fluctuations in capital values by investing primarily in a diversified portfolio of short-term investment grade fixed income securities.Learn More
Our actively managed strategy seeks to achieve maximum total return, consistent with preservation of capital and prudent investment management, through high current income generation and, where appropriate, capital appreciation.Learn More
Our multi-credit strategy seeks to take advantage of opportunities across more than just global high yield bonds, but also includes global floating rate loans and structured credit.Learn More
Our global approach to investing in floating rate loans offers the potential for attractive yields while mitigating against rising rates and providing geographic diversification.Learn More
Closed End Funds
Invests primarily in privately placed, below-investment grade, long-term corporate debt obligations.Learn More