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.
|ICE BofA Global Non-Financial High Yield Constrained Index (Hedged into USD)
Portfolio Managers Industry Start Date
Matthew Kearns, CFA
Portfolio Manager, U.S. and Euro High Yield
Managing Director, Senior Portfolio Manager—Multi Asset Credit Strategies, Investment Grade Corporates Sector Manager