Objective
The Rorer Fixed Income Strategy’s objective is to provide positive, consistent risk controlled returns in excess of the target benchmark, from a high quality portfolio of intermediate maturities.
Investment Strategy
The cornerstone of the Fixed Income investment philosophy at Rorer is to buy high quality, intermediate maturities within a risk-adverse , actively managed portfolio that seeks attractive opportunities along the yield curve. Rorer’s experience with fixed income has shown that high quality intermediate maturities have provided the highest risk adjusted total return over the long run. By employing a risk adverse style in an active management approach, the investment team at Rorer believes they can minimize overall risk and volatility. By focusing on total returns within a highly disciplined process Rorer seeks to provide risk controlled returns.
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