Schroders Short Term Municipal
Bond investment strategy seeks to maximize after - tax yield and income by investing across the spectrum of investment grade municipal debt.
Not exact matches
Fidelity Strategic Funds are multi-asset-class
strategies that
seek to address key income needs —
bond income from global sources, non-
bond income, and real return — by investing in a diversified mix of fixed income and / or equity
investments chosen for their historical combined performance.
Jeffrey Gundlach, CEO of DoubleLine discusses the AMG DoubleLine Core Plus
Bond Fund's
investment strategy, risk management process and how this Fund is designed to
seek outperformance.
Fidelity Strategic Funds are multi-asset-class
strategies that
seek to address key income needs —
bond income from global sources, non-
bond income from dividend - paying securities, and real return to help protect against inflation — by investing in a diversified mix of fixed income and / or equity
investments chosen for their historical combined performance.
The
strategy seeks to generate total return by investing across the full maturity spectrum of below
investment grade corporate
bonds denominated in various currencies.
Seeking opportunities through mortgage - backed securitiesBroad securitized opportunities: The fund invests in mortgage sectors, including agency MBS and CMOs, and non-agency RMBS and CMBS, and ABS.Higher potential returns: By investing in mortgage - backed
bonds, the fund can offer the potential for higher returns than an
investment strategy focused only on agency MBS.Leading research: The fund's portfolio managers use proprietary models to assist in the evaluation of mortgage - backed
bonds and to manage the fund's interest - rate risk.
As a result, unless you are
seeking advice relating to investing in specialized
investment opportunities such as buying particular individual stocks or
bonds, robo advisors can offer
investment advice that takes into account much of the same long - term
investment strategies human advisors use.
Fidelity Strategic Funds are multi-asset-class
strategies that
seek to address key income needs —
bond income from global sources, non-
bond income, and real return — by investing in a diversified mix of fixed income and / or equity
investments chosen for their historical combined performance.
The
investment objective of the Intermediate
Bond Strategy is to
seek an annual rate of return greater than the annual rate of total return of the Bloomberg Barclays Intermediate U.S. Government / Credit
Bond Index.