• Style Multi-Sector Bond
  • Approach Active; Top-Down/Bottom-Up
  • Benchmark Bloomberg Barclays Aggregate Bond Index

Strategy Highlights

  • Active Management – Modest shifts in duration and among sectors to maximize opportunities in changing economic and interest rate environments
  • Sector Diversification – Opportunistically invest in high yield bonds as an important diversifying component
  • Comprehensive Research – Central to our investment process and risk management approach

Portfolio Managers

Stay Updated & Informed with GW&K

GW&K's CIO and Portfolio Managers share their insights and opinions on the economy and market each quarter.

  • This field is for validation purposes and should be left unchanged.