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SLC Management Core Fixed Income Plus strategy

The SLC Management Core Plus Bond Fund (“the Fund”) seeks to achieve total return by providing income while preserving capital over the medium term by investing, directly or indirectly, primarily in a diverse portfolio of public fixed income assets. The strategy may seek additional income and return from private fixed income sources, Canadian commercial mortgages, and/or non-Canadian investment-grade and below investment grade public and private fixed income assets.           

The investment strategy employed by the Fund seeks to improve risk/return metrics and provide investors with strong diversification via an emphasis on the following defining features:

  • Inclusion of private assets can offer lower correlations to equities than typical “Plus” categories that usually include emerging market debt.
  • Bottom-up portfolio construction that leverages deep, proprietary global credit research platform; scale and skills to identify relative value opportunities in the U.S. across issuers and sectors.
  • Substantially hedged to allow the Fund to take advantage of global opportunities and hedge rates and currency exposures back to the benchmark.
  • Greater diversification through an expanded opportunity set, including our global public and private credit and commercial mortgages platforms.

 

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