The US Long Duration Corporate strategy is managed against the Bloomberg Barclays US Long Corporate Index. It is a total return strategy focused on security selection and sector rotation within investment grade corporate bonds. Other sectors including High Yield corporates, government bonds and emerging markets may also be utilized. The strategy maintains some duration flexibility and may be positioned within one year of the Index’s duration. The strategy is US-dollar-based and does not take active currency exposure.
Please note that all investment strategies involve risk.
PAST PERFORMANCE IS NOT NECESSARILY INDICATIVE OF FUTURE RESULTS.