The Fund seeks long-term total return by investing in domestic and foreign fixed income securities of varying credit quality and maturity. It actively allocates between sectors, may use derivatives (e.g. futures, credit default swaps) for risk management or exposure, and invests across developed and emerging market debt.
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The Fund seeks long-term total return by investing in domestic and foreign fixed income securities of varying credit quality and maturity. It actively allocates between sectors, may use derivatives (e.g. futures, credit default swaps) for risk management or exposure, and invests across developed and emerging market debt.
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Daily adjusted close
The Fund seeks long-term total return by investing in domestic and foreign fixed income securities of varying credit quality and maturity. It actively allocates between sectors, may use derivatives (e.g. futures, credit default swaps) for risk management or exposure, and invests across developed and emerging market debt.