The strategy seeks to generate high total return from both current income and capital appreciation by investing primarily in non-investment grade corporate debt securities of global corporate issuers located in the U.S. and Europe, as well as in emerging markets. The strategy employs a fundamental and qualitative approach, seeking to add excess return through strategic allocation of sectors and industries, as well as through disciplined credit selections.
Portfolio Attributes
Inception Date | 1/1/2019 |
Benchmark | ICE BofA Global Non-Financial High Yield Constrained Index (Hedged into USD) |
Portfolio Managers Industry Start Date
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Matthew Kearns, CFA
Portfolio Manager, U.S. and Euro High Yield1997
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David Torchia
Managing Director, Senior Portfolio Manager—Multi Asset Credit Strategies, Investment Grade Corporates Sector Manager1984