Los Angeles, California

Value Proposition


Proprietary macroeconomic methodology, where we examine the performance, structure, behavior, and decision-making of global economies as a whole.

Utilization of Scenario Planning, which helps mitigate against global event risk by examining what market reactions may occur in response to unexpected future events—whether political, economic, or social.

Conservative portfolio management, to protect and grow assets for our clients.

Inclusive, team-based investment process, to benefit from the collective insight and diversity of thought of our experienced professionals.

Consistent, time-tested philosophy that is definable and repeatable. Although global fixed income is often hard to track and difficult to predict, our methodology allows us to repeatedly find opportunities.