Jennison’s fixed income team manages investment grade strategies across the duration spectrum and works collaboratively with clients to create extremely customized solutions (the team currently manages 40+ different benchmarks). The investment team’s mission is to seek top-quartile returns while using an investment approach that focuses on high-quality credit, liquidity, and downside volatility.
In a series of recent videos, the team discusses their fundamental, bottom-up approach to constructing portfolios.
NAVIGATING THE INVESTMENT GRADE BOND MARKET
Jennison’s CIO of Fixed Income Jake Gaul, CFA sits down with Senior Product Specialist Jen Karpinski, CFA to discuss Jennison’s differentiated fixed income investment approach and philosophy.
NAVIGATING SECURITIZED PRODUCTS IN THE INVESTMENT GRADE BOND MARKET
Jennison’s Head of Structured Products Dmitri Rabin, CFA explains the team’s approach to the securitized credit market.
A DIFFERENTIATED APPROACH TO YIELD CURVE MANAGEMENT
Jennison’s Head of Yield Curve Strategy, Sam Kaplan, CFA discusses the team’s differentiated approach to yield curve management and explains why the team’s overarching philosophy is one of reversion of investment value to the mean over time.