MW Core Plus Bond Strategy
The Manhattan West Core Plus Bond Strategy focuses on risk-adjusted returns constructed with a risk management structure. The strategy is a core bond portfolio comprised of corporate securities, treasuries, mortgages, agencies and asset backed securities in addition to exposure in the “plus” sectors such as taxable municipals, high yield and preferred stock. The Portfolio Managers utilize tactical sector allocation within the fixed-income market and monitor relative value opportunities. The strategy employs complementary top-down macroeconomic risk management and rigorous bottom-up process of security selection.