Our Income and Growth solutions take traditional high yield and convertible bond management and combine it with the firm’s expertise in bottom-up company selection. Through rigorous fundamental research and capital structure analysis, we construct portfolios that comprise the best companies from a risk/return standpoint.
Our High Yield Bond and Convertibles strategies follow a disciplined, fundamental bottom-up research process, which facilitates the early identification of high yield issuers demonstrating their ability to improve their fundamental characteristics. The companies/issues selected for the portfolio exceed minimum credit statistics and exhibit the highest visibility of future expected operating performance.