Core Fixed

Overview

Our Core Fixed Income strategy invests in U.S. Dollar denominated investment grade securities and seeks to provide a total return in excess of the Bloomberg Aggregate Index. Portfolios include a mix of primarily U.S. Government/Agency, Corporate, and Asset-backed & Mortgage-backed securities. The portfolio utilizes sector rotation and security selection to add alpha over a full market cycle.

Risk Controls

  • Typical Corporate holding represents 1% or less of the Total Market Value
  • Duration is generally limited to ±10% of the index
  • Weekly stress testing
  • Pricing – portfolio marked daily
  • Performance monitored daily

Portfolio Management

Richard Scargill

Director of Fixed Income Strategies, Senior Portfolio Manager

Keith Weldon, CFA

Senior Portfolio Manager

Key Investment Personnel

William O’Connor, CFA

Senior Portfolio Manager

Kevin Conrath

Portfolio Manager
Snapshot

Benchmark: Bloomberg Aggregate Index
Inception Date: July 1, 2011
Investment Team: Fixed Income Group

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