| Fixed income securities like corporate and government
bonds and convertible instruments seek to optimize investor
return beyond the stated fixed rate of return. By analyzing
macroeconomic trends, currency fluctuation, credit risk and
valuation spreads over short and long term investment timeframes,
these funds seek to uncover investment value and opportunity
not originally factored into the fixed income return. Portfolios
cover all major markets and emerging markets. Charles Fleming’s
Asset Management success is clearly measured by the firm’s
solid performance track record over the years. Our global
perspective, combined with local market presence and proprietary
interest rate, currency and credit research, are among the
factors that give our firm its competitive advantage.
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