Essentials: Multi-Sector Income Fund

Essentials: Multi-Sector Income Fund

Seth Meyer, CFA, Portfolio Manager,
John Kerschner, CFA, Head of U.S. Securitized Products | Portfolio Manager, and
John Lloyd, Co-Head of Global Credit Research | Portfolio Manager

Learn how we target high, consistent monthly income for investors.

In an environment characterized by low yields, finding a fund that can navigate market and rate cycles while still seeking to offer a consistent stream of monthly income, without taking on additional risk, can be a challenge. Multi-Sector Income Fund is a dynamic, multi-sector income fund that seeks high, consistent income with lower volatility than a dedicated high yield strategy. Our approach leverages a bottom-up, fundamentally driven process that focuses on identifying the best risk-adjusted opportunities
across fixed income sectors.

View Multi-Sector Income Fund Details