US Fixed Income Strategy

About the strategy

The strategy’s investment objective is to seek current income by investing in investment grade U.S. dollar-denominated government and corporate bonds. The primary source of returns are interest rates, global investment grade sovereign debt instruments and corporate credit instruments.

The portfolio uses quantitative and qualitative analysis to optimize sector, issuer, and exposure to interest rates in order to increase diversification, avoid defaults, and generate income.

Our team

Divya Singaravelu - Senior Portfolio Manager of U.S. Credit Fixed Income.

Divya Singaravelu

Senior Portfolio Manager of U.S. Credit Fixed Income.

see more