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Overview

 

Our experienced, well-resourced team has been managing mortgage and securitized portfolios dating back to 1984. We invest across the global securitized market landscape with actively managed strategies spanning the duration and credit spectrum, and our investment process seeks to identify and exploit market inefficiencies through deep collateral analysis and rigorous security selection.

 

Strategies

* Individual vehicles may have specific ESG related goals and restrictions  Please refer to governing documents to understand their binding ESG criteria. 

As of 01/31/2024. Team information may change from time to time.

This material is a general communication, which is not impartial and has been prepared solely for informational and educational purposes and does not constitute an offer or a recommendation to buy or sell any particular security or to adopt any specific investment strategy. The information herein has not been based on a consideration of any individual investor circumstances and is not investment advice, nor should it be construed in any way as tax, accounting, legal or regulatory advice. To that end, investors should seek independent legal and financial advice, including advice as to tax consequences, before making any investment decision.

All investing involves risks, including a loss of principal. 

Please refer to the strategy detail page for important information on the strategy, including additional risk considerations.