Institutional and corporate investors seek to diversify their portfolios, while generating consistent income to support their long-term objectives and commitments. We work diligently with a robust team of analysts and researchers to identify high-quality fixed income products, guided by independent expertise that doesn’t rely solely on outside sources. We utilize our global reach to uncover investment opportunities across sectors and regions, matching them with your organization’s unique profile.
We dedicate our extensive research and analytical capabilities to ensure we deliver products of top-tier quality and efficiency. We offer a wide range of custom solutions, with expertise in investment-grade and high-yield products, derivatives, municipal bonds and more. Consider us as your partner, supplying a broad range of resources and ingenuity to develop portfolios that are designed with the intent to serve you well over time.
We dedicate our extensive research and analytical capabilities to ensure we deliver products of top-tier quality and efficiency.
There are special risks associated with investing with bonds such as interest rate risk, market risk, call risk, prepayment risk, credit risk, reinvestment risk, and unique tax consequences. There is an inverse relationship between interest rate movements and bond prices. Generally, when interest rates rise, bond prices fall and when interest rates fall, bond prices generally rise.