Industry description
The investment seeks to provide total return through a combination of current income and capital appreciation with low correlation to equity and fixed income markets and consistent with stability of principal.
The fund’s advisor seeks to achieve maximum current income while remaining market neutral by achieving a low correlation to the fluctuations of the U.S. stock market. It’s primary investment vehicle are convertible bonds. Secondarily, the fund may invest in, but is not limited to, government bonds, corporate bonds, preferred securities, and equities.