Invests in an unconstrained global opportunity set that encompasses all major asset classes, including investment grade and securitized credit debt, high yield debt, bank loans, and hard and local currency sovereign and corporate debt, with an investment objective of achieving a target total return. The strategy is not constrained by or managed to a market benchmark and may be customized based on clients’ investment goals and objectives.
Portfolio Attributes
Inception Date | 4/1/2014 |
Benchmark | None |
Portfolio Managers Industry Start Date
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David Torchia
Managing Director, Senior Portfolio Manager—Multi Asset Credit Strategies, Investment Grade Corporates Sector Manager1984
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David Scott
Portfolio Manager—Multi-Asset Credit Strategies, Developed Markets Sector Manager1983
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Roger Lavan
Portfolio Manager—Multi-Asset Credit Strategies, Securitized Products Sector Manager1985