The Fund aims to seek a high income with the potential for some capital growth over the long term.
The Fund invests at least 70% of its assets in US issuers in a global multi-sector portfolio of debt securities of any quality, including asset-backed and mortgage-backed securities, high-yield securities, including non-investment grade or unrated securities, issued by governments, companies or any other type of issuer.
ABOUT THIS FUND
- A dynamic, multi-sector income fund that seeks high, current income with lower volatility than a dedicated high-yield strategy.
- Leverages bottom-up, fundamental analysis to focus on identifying the best risk-adjusted returns across fixed income sectors.
- Typically holds 35% to 65% in below-investment-grade bonds.