Sector teams, comprised of research analysts, portfolio managers and traders, drive the investment decision-making
process. Sector teams meet weekly to consider and debate alternative market scenarios. Their thorough evaluation of global economic and
market factors contributes to a macro investment perspective. Four senior strategists, focused on the markets for domestic and global credits,
securitized assets and derivatives, support this process.
Our extensive research coverage across every major bond market segment continually reveals investment opportunities.
Portfolio managers gain perspective of individual credits leveraging Loomis Sayles’ research on securities in the government, municipal, structured
finance, investment grade corporate, high yield corporate, emerging market and convertible markets.
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Experts in their respective sectors, our career research analysts have been through multiple credit cycles and are
able to provide unique perspectives and money-making ideas in any investment environment.
With formal and informal opportunities to exchange their ideas and views, portfolio managers, analysts, traders
and strategists are able to cut through the constant market noise to determine genuine security valuations.
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