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Finding bond market opportunities

We add value by diligently seeking out fixed income market inefficiencies. We diversify client portfolios by actively managing yield curves, sectors and securities. And we continuously monitor, manage and justify the investments and risks in client portfolios.

Fixed Income Strategies


For institutional investors

Strategic Credit Income strategy fact sheet  (pdf)

Flexible multi-sector approach that invests in securities across fixed income sectors, industries, and credit rating categories.

Ultra Short Duration strategy fact sheet  (pdf)

Typical duration of 1 year. Strategy focused primarily on investment grade debt securities.

Short Duration strategy fact sheet  (pdf)

Typical duration of 1-3 years. Strategy focused primarily on investment grade debt securities.

Core Fixed Income strategy fact sheet   (pdf)

Typical duration of 3.5-5.5 years. Strategy focused primarily on investment grade debt securities.

Long Duration strategy fact sheet  (pdf)

Typical duration of 9.5-16 years. Strategy focused primarily on investment grade debt securities.

The Fixed Income team

Tom Houghton portrait

Tom Houghton, CFA

Vice President & Portfolio Manager

Jane Wyatt portrait

Jane Wyatt, CFA

Vice President  & Portfolio Manager

Dan Henken portrait

Dan Henken, CFA

Vice President & Portfolio Manager

Lena Harhaj

Lena Harhaj, CFA

Investment Officer & Portfolio Manager

Find out more about our fixed income expertise.

Contact Us

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