William Blair Ultra-Short Duration Bond Strategy
Capital Preservation Focus
Diversified portfolio comprised of high-quality, liquid fixed-income securities. The strategy emphasizes capital preservation and seeks to offer the ability to provide liquidity in volatile markets. Actively managed by a tenured dedicated fixed-income team with a disciplined repeatable investment process.
Provides the opportunity for higher income than cash instruments, with an emphasis on preserving capital.
Disciplined Investment Approach
The strategy will invest in A- and up rated bonds, while maintaining a diversified portfolio of highly liquid securities with an average duration of approximately one year while employing active risk management.
View All Our Strategies
Featured Blog Posts
Looking For More Insights?
Our active ownership culture creates long-term client relationships by aligning with your interests and helping you achieve successful investment outcomes. Contact us to learn how we can partner with you.