Ability to reposition portfolios nimbly, take active positions in smaller debtors and capitalize on the resources of a large research-driven firm.
Our mission is to manage assets in a manner that maintains the integrity of the client's asset mix, while avoiding risks and volatility. Our disciplined investment process places an emphasis on qualitative security analysis, complemented by quantitative tools and risk-control measures that enhance our team's ability to convert yield into a total return advantage, regardless of the direction of interest rates.
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