FIAM Tactical Bond

The FIAM Tactical Bond strategy is a dynamic solution that seeks to achieve strong total returns by exercising broad flexibility to invest in an expansive set of fixed income sectors by leveraging a transparent and disciplined investment process.

INVESTMENT PHILOSOPHY AND APPROACH

The investment team seeks to generate competitive returns, while maintaining bond-like volatility, from asset allocation, sector rotation, security selection, duration management, yield-curve positioning, and foreign currency exposures. Our philosophy and approach:

  • Employs a dynamic multi-sector approach to utilize the entire opportunity set of global fixed income sectors
  • Optimizes risk-adjusted returns by continuously evaluating risk based on historical and expected
  • Maintains adequate levels of liquidity to take advantage of opportunities and mitigate downside risk

Leveraging a long history of fixed income asset allocation

Inception Date: Jan 31, 2006
Global investment-grade and non-investmentgrade fixed income sectors and securitiesUniverse:70%30%–40%Non-Investment Grade Exposure:Flexible3–6 yearsTargeted Duration Range:3%–6% annualizedActual 5-Year:6.48%Targeted Volatility over a Market Cycle:Up to 10%0%–2%Active Currency Exposure:Asset allocation, sector rotation, securityselection, yield curve, foreign currencyPotential Sources of Return:MaximumAverageCharacteristics

Portfolio Managers

Jeff Moore
Jeff Moore, CFA Portfolio Manager
Ford O'Neil
Michael Plage, CFA Portfolio Manager
FEATURED RESOURCES
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