About: The Fund seeks to provide a high level of current income and return the original $9.85 net asset value per common share on or about November 1, 2020. The Fund seeks to achieve its investment objectives by investing in below investment grade corporate debt and other instruments as described below. To construct and manage the portfolio, the Fund’s subadviser employs a bottom-up approach that focuses upon credit analysis and relative value. The Fund seeks to identify securities across diverse sectors and industries that the portfolio managers believe are undervalued or mispriced.
Tags: Asset Management Financial Services