Strategy Overview
US Core 1-5 Year Government/Credit strategy is focused on rotation among – and security selection within – US Government, investment grade credit, mortgages, and securitized bonds. Other sectors including non- US bonds, high yield, and emerging markets are also utilized. The strategy seeks to outperform the Bloomberg Barclays 1-5 Government/Credit Index over a three- to five-year time horizon. The strategy employs no financial leverage and is US dollar hedged.
Please note that all investment strategies involve risk.
PAST PERFORMANCE IS NOT NECESSARILY INDICATIVE OF FUTURE RESULTS.