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This core fixed income product features both duration neutral portfolios and low volatility portfolios with duration ranging from approximately 90 to 110% of the prospective benchmark. Emphasis is placed on generating excess returns by achieving a yield advantage versus the benchmark. We tailor portfolios to satisfy clients' investment objectives, risk tolerance, income and liquidity constraints.
Portfolio Manager:
Charles L. Curry
Director of Fixed Income
- Vice President, Portfolio Manager of Yield Advantage product
- MBA, Clark-Atlanta University - Finance
- AB, Duke University - Political Science
- 17 Years of Experience - Fixed Income Portfolio Management, Credit Analysis
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