Mirae Asset’s disciplined fixed income
investment style and process, supplemented by our proprietary management
systems, enable us to offer a wide array of fixed income products and
solutions. These are designed to fulfill market demands for stable
long-term performance and spearhead the fixed income industry with
best-in-class innovation
Global Network
Mirae Asset has extensive resources devoted to its fixed
income capability, with a global team headquartered in New York,
operating in four international cities. Mirae Asset’s team of global
fixed income portfolio managers, macro analysts and credit analysts
collaborate to identify shifts in underlying credit fundamentals and
evaluate the risk-adjusted attractiveness of varied fixed income
investments.
Dynamic Investing
With respect to fixed income investing, Mirae Asset
believes that optimum risk-adjusted returns can be achieved by adjusting
a portfolio's exposure to different types of bonds, in response to the
findings of the team's macroeconomic research. Capital preservation – an
essential component of the team's strategy – is targeted through
diversification, market analysis and risk management. This approach to
fixed income investing is accurately described as top-down, with
personnel and infrastructure devoted to macroeconomic research focused
on sovereign debt issuers in both developed and emerging markets.
Investment Process

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