Description: The fund uses a diversified global high-income strategy, which blends high-yield bonds and other income producing securities from around the world, and across the capital structure and credit spectrum. These securities include: U.S. high-yield bonds; non-U.S. high-yield bonds from developed and emerging markets; and other income-producing investments such as preferred and convertible securities. At least 65% of its managed assets will be invested in securities rated lower than investment grade at time of purchase or, if unrated, judged to be of comparable quality by the portfolio team. At least 40% will be in securities issued by non-U.S. entities, and up to 25% will be invested in debt obligations from issuers located in emerging market countries. Up to 15% of the fund’s assets may be in unhedged non-U.S. dollar denominated bonds. The fund uses leverage. The fund may use derivatives for hedging purposes only.
Exchange: NYSE
Country: US
Currency: US Dollar ($)
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