Money Market Management Strategy
This suite of Money Market Management strategies offers a comprehensive roster of Rule 2a-7 money market funds, including prime, government, and municipal investment styles, to suit a broad range of investment objectives and address investors’ varying liquidity management needs.
Competitive advantages
Conservative investment approach
The team actively manages funds with clear priority given to investors’ need for liquidity, preservation of capital, and a competitive yield.
Security selection
A bottom-up process relies on fundamental research and relative-value recommendations for security selection.
Disciplined risk management
The team uses proprietary risk models, including both quantitative and qualitative factors, to identify investment opportunities and manage key risks.
Prioritizing liquidity and capital preservation through a disciplined approach
The team philosophy adheres to disciplined active management to provide clients with consistent, competitive risk-adjusted returns to meet their liquidity needs.