William Blair Intermediate Fixed Income Strategy
Differentiated Opportunities
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.
Income Potential
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:...
Rates are zero-bound, and today, everyone seems to be looking for yield. But as prime money market funds close and government...
The Short and Long of the Fed Buying Corporate Bonds
April 27, 2020By enhancing liquidity and improving functionality in the corporate bond markets, new U.S. Federal Reserve (Fed) programs...
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