Global Bond

The Global Bond strategy is managed by WFAM Global Fixed Income. The investment team's philosophy is to capitalize on the increased opportunity of international markets and provide diversification through enhanced yield opportunities and controlled currency risk while seeking to exceed the return of the BofA Merrill Lynch Global Broad Market Plus Bond Index (Unhedged US$). The currency exposure is actively managed to control risk and enhance returns. The managers use forward foreign exchange transactions in the management of currency exposure. The investment team uses proprietary investment technology, experienced investment professionals, and active management within a structured process. The investment team actively manages currency as a separate asset class to mitigate risk and enhance returns.

Strategy details

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