Fixed Income

Current Income and Capital Preservation. What matters most to you matters most to us.

Sterling’s Fixed Income team strives to deliver consistent, superior risk-adjusted performance over time through a multi-faceted approach to investing. Based on our team’s forecast for the broader economy and specific market sectors, we utilize a variety of strategic and tactical levers that allow us to construct portfolios for any type of market environment.

Due to the asymmetric risk/return profile of bonds, we believe in the importance of quantifying risk prior to assessing the potential return of any investment. We analyze risk on both a stand-alone basis and within the portfolio context and firmly believe that when it comes to risk, “if you cannot measure it, you cannot manage it.”

Click here to view the resource center.

Fixed Income
Cash Management
Enhanced Cash
Short-Term Fixed Income
Intermediate-Term Fixed Income
Core Fixed Income
Long-Term Fixed Income
Sector Focused
Liability Matched