William Blair Intermediate Fixed Income Strategy
Diversified portfolio of investment-grade, liquid fixed-income securities with focus on consistent risk-adjusted returns with current income. Actively managed by a tenured dedicated fixed-income team with a disciplined repeatable investment process.
Provides the opportunity for higher income than ultra-short-term bond strategies, and seeks to provide relative stability of capital.
Disciplined Investment Approach
Disciplined approach that combines fundamental research with macro-economic impacts to identify relative value and desirable characteristics while employing active risk management. The strategy retains flexibility to invest up to 10% of the portfolio in BBB-rated securities while maintaining a diversified portfolio of liquid securities with an average duration of approximately three years.
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Featured Blog Posts
Since sustainable (“green”) bonds were first introduced, the fixed-income market has seen the confluence of three events:...
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By enhancing liquidity and improving functionality in the corporate bond markets, new U.S. Federal Reserve (Fed) programs...
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