Mortgage bond fund managers known as real estate investment trusts have been raising cash at their fastest pace since 2013, giving them enough new capacity to buy more than $ 30 billion of the securities, according to data compiled by Bloomberg.
Not exact matches
H.L.: The stock market, hedge
fund managers, banks, and investors were all aflutter about Federal Reserve Chairman Ben Bernanke's comments about possibly tapering off on its monthly purchase of $ 85 billion worth of Treasury
bonds and
mortgage - backed securities.
In pursuing income, the
fund's
managers have the flexibility to invest across the fixed income spectrum, including Treasuries,
mortgage - backed securities, corporate
bonds and floating - rate term loans.
Bond Markets Pimco Sells Canadian Provinces After Worst Rout Since «94 Fascinating 2c everything hit after shift in Fed Lingo $ $ Jul 05, 2013
Fund Manager Ducks
Mortgage Trouble — at His Peril...
Pursuing income with an all - weather
bond portfolioDiverse opportunities: The
fund invests across all sectors of the U.S.
bond market, including
mortgage - backed, corporate, and government
bonds.A flexible strategy: The portfolio
managers pursue an attractive level of income, adjusting the portfolio to favor attractive sectors as interest rates and market conditions change.Leading research: The
managers, supported by Putnam's fixed - income research division, analyze a range of
bonds to build a competitive portfolio.
Michael is a Fixed - Income Portfolio
Manager responsible for managing
mortgage and government
bond portfolios for Wellington Management's mutual
fund, institutional, and government clients.
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.
Sean Corcoran has been appointed portfolio
manager and joins Franco Castagliuolo as co-
manager on Fidelity Advisor
Mortgage Securities
Fund (with retail and Advisor share classes), Fidelity GNMA
Fund, Fidelity Government Income
Fund (with retail and Advisor share classes), Fidelity Inflation - Protected
Bond Fund (with retail and Advisor share classes), Fidelity Intermediate Government Income
Fund, and Fidelity Limited Term Government
Fund.
(Bloomberg)-- Deutsche Bank AG sought an unusual provision in its $ 7.2 billion
mortgage -
bond settlement with the U.S. government, and seems to have won it: the bank can pay down part of its penalty by lending money to
fund managers...
(Bloomberg)-- Many
fund managers are fearful about the Federal Reserve shedding its massive $ 1.78 trillion
mortgage bond portfolio, a step it plans to start next month.