The Logan Circle Multi-Sector strategy seeks to maximize total return and income while adhering to longer term strategic risk management through a disciplined commitment to the diversification benefits of a multi-sector portfolio. The strategy seeks to exploit Logan Circle’s core competencies in investment grade credit, global high yield, emerging market debt, and global fixed income. Our approach emphasizes security selection to augment our asset allocation process and in our efforts to enhance returns, we:
|SECTOR WEIGHTS (Range)|
Additionally, we view other spread sectors (CMBS, ABS, non-Agency) as providing a further opportunity set for the portfolio management team.
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