The purpose of this fund
Tap the energy sector to generate income with lower volatility than equities.
- •High-conviction portfolio of fixed-income securities issued by companies involved in the North American energy industry
- •Active risk management, with a focus on preservation of capital and an emphasis on asset value and margin of safety
- •A lower-volatility, higher-yielding way to access the potential growth of the energy sector
- •Macro themes and rigorous fundamental credit analysis are combined to identify securities with the best opportunities for high, stable yield and total return
Managed by -
- registered accounts eligible