Global Multi-Sector Income

Team Introduction

Global Fixed Income Introduction Video

Key Stats

Strategy Profile
Inception Date
April 1, 2013
Strategy AUM ($M)
Avg. Quality1
Current Yield (%)

Strategy Overview

Global Multi-Sector Income is a flexible, value-oriented strategy that seeks attractive income and aims to preserve and grow capital over a market cycle with an emphasis on strong, risk-adjusted total return by dynamically allocating across the global fixed income market. The strategy applies a differentiated, proven process that combines top-down analysis of macroeconomic conditions with bottom-up fundamental research to identify global, cross-sector opportunities that we believe offer the most compelling combinations of valuations and durable fundamentals. The flexible guidelines enable the team to respond prudently to the business cycle, rotate portfolio positions according to the economic environment, and proactively manage interest rate and credit risks—while simultaneously considering sector allocation, security selection, duration, credit quality, and currency—for attractive risk-adjusted return potential. The strategy is managed by a long-tenured investment team who bring together demonstrated sector experience in global sovereigns, corporate and structured credit, emerging markets, and currencies.