Upgrade your core®
Our US core plus fixed income strategy's dynamic, multi-sector approach aims to provide an efficient allocation to fixed income and consistently strong risk-adjusted performance.
The investment team seeks to manage credit, sector and duration risk through a diversified portfolio of primarily investment-grade fixed income securities, focusing on security and sector selection and out-of-benchmark securities.
Our team has managed multi-sector core-style approaches for an average of over 20 years each and is supported by a research team who are specialists in investment grade, high yield, emerging market and securitized credit.
Watch our Core Plus video series below with Gautam Khanna, Senior Portfolio Manager.
This strategy is also available to investors as a pooled fund through BNY Mellon Investment Management. Click here for more information.
strong global credit research function1