MANI pursues total return through a multi-sector credit strategy, investing in a broad range of debt instruments of any maturity or duration. The funds portfolio consists of high-yield and investment-grade corporate bonds, government and agency securities from US and international, including emerging markets, and securitized debt like MBS and ABS. Using a bottom-up approach, the sub-adviser seeks undervalued securities due to overstated risks. The fund invests across all currencies, with no limits on exposure to foreign or emerging market debt. The fund also utilized derivatives such as futures, options, and swaps to hedge risk, enhance returns, or gain synthetic exposure. It may also invest opportunistically in equities and equity-linked instruments, including those acquired through debt restructurings. Additionally, it may use ETFs and money market funds.
公司网站 :
https://www.man.com/products/man-active-income-etf
总经理:-
建立时间:2025
公司总部:Man Active Income ETF
领域:Miscellaneous
行业:Investment trusts/Mutual funds