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Fund Holdings Portfolio Characteristics

Fund Holdings Portfolio Characteristics

Fund Holdings Portfolio Characteristics

Fund Holdings Portfolio Characteristics

Absolute Return Global Tactical Credit

The Global Tactical Credit strategy is an absolute-return, long-only, multi-sector credit strategy that seeks to provide high yield income and capital appreciation through tactical portfolio management in global corporate bonds and bank loans with attractive risk/reward characteristics.

The strategy has the flexibility to dynamically allocate to positive return sectors over the course of a full credit cycle. The portfolio managers may use duration management and sector rotation in order to seek absolute return.

A tactical approach to corporate credit can deliver investors more attractive risk adjusted returns over time in comparison to a single fixed income asset class. The strategy has the benefit of going anywhere within the credit markets to identify bonds offering attractive relative value and risk-adjusted return potential without the constraints of a defined indicative market.

The Funds are offered to United States residents, and information on this site is intended only for such persons. Nothing on this website should be considered a solicitation to buy or an offer to sell shares of any Fund in any jurisdiction where the offer or solicitation would be unlawful under the securities laws of such jurisdiction.

Please refer to theCredit Opportunities Fund prospectus, theU.S. High Yield Corp Bond Fund prospectusLow Duration Fund prospectusandHigh Income Floating Rate Fund prospectusfor important information about the investment company including objectives, risks, charges, and expenses. Read each of the Fund documents carefully before investing. You may also obtain a hard copy of the prospectus by calling 1-.

Mutual fund investing involves risk. Principal loss is possible. Investments in the fund include risks associated with debt securities, lower-rated and non-rated securities, foreign securities including emerging markets, derivatives, floating rate loans, turnover risk, leverage, securities with liquidity risk and investments in other funds or ETFs. Please refer to the prospectus for additional information about the risks of investing in the fund.

The Funds are distributed by Quasar Distributors, LLC.