To answer who we are, we need to look at where the market has been.
Nearly two decades since the financial crisis,
and investors are still contending with fears of rising yields, inflation,
a more complex credit market, and increased volatility.
Against this backdrop, the challenge is to provide solutions that
address the growing need for income and capital preservation,
which can be used as a foundation across all portfolios.
With over a dozen investment professionals, the core fixed income team believes the path
forward requires an active process to succeed in the current market environment.
What differentiates Dynamic is that we encourage a culture of legitimately active
portfolio management that promotes the most innovative and tactical ideas.
This has enabled the core fixed income team to look to an expanded opportunity set.
What sets us apart?
The willingness to step outside of a benchmark constraint framework.
A collaborative approach that integrates strategic investment decisions within the
rates universe as well as a fundamental credit process.
And finally, we have extensive US fixed income experience
to go along with our deep expertise in Canadian markets.
Benchmarks do not think.
They don't assess whether risks are adequately priced or where the greatest opportunities reside.
We believe that closet and passive investing does not address today's challenges.
To be successful, we must avoid a benchmark mentality to meet client needs.
We understand that fixed income markets are a challenge for many.
But what if investors could feel confident knowing they have the support of a team that understands their concerns?
The core fixed income team is focused on providing active solutions that can be a foundation for our clients' portfolios.