Webinar Highlights: SAM's Active Management Philosophy
Looking for ways to capture more income and manage risk in today’s bond market?
In this clip from our recent webinar, our Deputy CIO, Mario V. Valente, CFA, explains how inefficiencies in the corporate credit market can create opportunities for investors.
Our team’s active approach focuses on:
✔ Identifying mispriced or misunderstood securities
✔ Anticipating ratings changes before the market reacts
✔ Managing risk through thorough credit analysis
Bond yields remain at some of the most attractive levels in nearly 16 years—making now an important time to consider where active management can add value.
Watch the full investor webinar to learn more about BondPlus, SAM’s actively managed fixed-income strategy: https://hubs.li/Q03N6vDv0