Western Asset
Description
Western Asset's US Enhanced Cash composite includes portfolios that employ an active, team-managed investment approach around a high quality, value-oriented investment philosophy. These portfolios use diversified strategies and all investment-grade sectors of the fixed-income market in seeking to add value while minimizing risk.
Objective
Exceed the benchmark return by at least 50 basis points annually over a 3- to 7-year period while emphasizing capital preservation.
Approach
Construct a portfolio using all major fixed-income sectors with a bias towards non-Treasuries, especially corporate, mortgage-backed, and asset-backed securities. Value can be added through sector rotation, issue selection and term structure weighting.
Snapshot
Benchmark:
90-Day LIBOR
Constraints:
Duration Exposure: -0.2 to 1.0 year
Average Quality: AA-
Assets Under Management:
Total US Enhanced Cash Assets: US$15.7 billion
Inception Date:
January 01, 1988
How to Invest
Please contact your Client Service Executive or call our main number.