Total Return Tactical
Posted: Monday, June 13, 2016

Seeks to maximize total return across fixed income sectors while maintaining active risk management constraints. The strategy has two primary drivers of alpha: 1) Actively manages the risk exposure by changing the mix between government and credit. The credit component is diversified across fixed income sectors. 2) The strategy maintains a lower duration than the benchmark.



2002 N. Tampa St.
Suite 200
FL 33602



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