Short Credit-Focused Strategies.

We leverage our robust, bottom-up security selection skills to uncover short-duration, investment opportunities across the US fixed income spectrum with limited Treasury exposure.
Strategy Overview.
Inception Date:
February 29, 2012
Assets:
$200 million
Sample Benchmarks:
  • Bloomberg 1-3 Year Treasury
  • Bloomberg 1-3 Year Government/Credit
  • Bloomberg 1-5 Year Government/Credit
Available Vehicles:
  • Separately Managed Account
  • Private Investment Fund
Strategy Highlights.
  • Emphasize high-quality, short-duration fixed income securities across corporate, securitized, and municipal assets.
  • Emphasize securities with structural and price advantages.
  • Hold meaningful position sizes.
  • Actively manage liquidity and credit risks.
  • Maintain duration-neutral posture relative to the index.

Contact our Client Team for more information.

Data provided as of January 2, 2024
@ 2024 Income Research + Management. All Rights Reserved.
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