At Baker Gilmore, we have over 30 years of experience managing fixed income portfolios using a fundamentally focused approach.
Our highly portable process across mandates and client risk tolerances combines fundamentally-driven, subjective forecasts of key factors driving bond market returns with a rigorous portfolio construction process to meet client risk and return objectives. Our longer-term investment horizon allows us to look through shorter-term market volatility to capture added value for client portfolios.
Traditional strategies currently managed by Baker Gilmore: