Total Return
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 managing risk exposures by changing the mix between government and credit which have potentially off-setting risks. Historically the strategy has used mortgages for both government and credit components because mortgages offer homogeneous fundamentals. 2) Duration is actively managed and maintained lower than the benchmark.



2002 N. Tampa St.
Suite 200
FL 33602



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