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    US core plus

    US core plus

    Upgrade your core®

    Our US core plus fixed income strategy's dynamic, multi-sector approach aims to provide an efficient allocation to fixed income and consistently strong risk-adjusted performance.

    The investment team seeks to manage credit, sector and duration risk through a diversified portfolio of primarily investment-grade fixed income securities, focusing on security and sector selection and out-of-benchmark securities.

    Our team has managed multi-sector core-style approaches for an average of over 22 years each and is supported by a research team who are specialists in investment grade, high yield, emerging market and securitized credit.

    This strategy is also available to investors as a pooled fund through BNY Mellon Investment Management. Click here for more information.

    2008

    strategy inception

    $7.2bn

    strategy assets1

    over 22

    years' experience1

    45

    global credit research analysts1

    Further reading

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