CC&L's fixed income management expertise is recognized for its ability to meet clients' expectations, regardless of the mandate or benchmark.
- A team with depth and experience: The senior decision makers on our team bring a range and depth of experience not generally seen in our industry.
- Structured and portable process: CC&L uses a disciplined approach in each area of active management including domestic and foreign interest rate decisions, sector allocation and security selection. This disciplined decision-making process is equally applicable to portfolios managed against any client-specific benchmark.
- Diversified approach, which is well suited to changing market conditions: CC&L seeks out multiple sources of added value and carefully measures the risk/return trade-off in each of these areas. Research validates the links between fundamental data and movements in the market and is conducted continuously in order to allow the process to evolve with capital markets.
- Proprietary risk management techniques ensuring appropriate risk/reward profiles for client portfolios: A key benefit of our risk management process is that we can measure the impact of all decisions at any time.
For summary information on our Fixed Income solutions please download: CC&L's Fixed Income Profile.
For detailed information on our Fixed Income strategies, please select from the list on the left.