Focus on Sector Diversification – Modest shifts in duration and among sectors to maximize opportunities in changing economic and interest rate environments
Comprehensive Research – Central to our investment process and risk management approach
Active Management – Invest across multiple investment grade sectors to help enhance return opportunities and manage risks
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Corporate bonds may offer an attractive combination of downside protection and positive carry to navigate the current economic environment. Our team shares how active management can help calibrate exposure to the most vulnerable effects of tariffs.