Plus
Canadian Core Plus Bond
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At a Glance
We believe that a highly disciplined portfolio construction methodology is the most predictable way to generate competitive risk-adjusted returns when measured against any given benchmark. Our core plus solutions seek to capture incremental excess returns over the long-term.
Expanding the Opportunity Set
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Extensive independent credit research.
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Sound yield and credit curve analysis.
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Strategic portfolio construction.
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Structurally unbiased approach to credit risk.
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Tactical flexibility to benefit through all market conditions.
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Interest rate anticipation.
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Sector strategy and security selection.