Broad Street Capital Markets Group
Management Philosophy
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Broad Street Capital's objective is to provide Institutional Fixed Income Clients with Investment Grade Asset Backed Bond utilizing diversified, value-oriented portfolios that are tightly controlled and managed for the long term. Broad Street Capital believes significant inefficiencies exist in the Fixed Income Markets. By combining traditional analysis with innovative technology, the Firm attempts to add value by exploiting these inefficiencies across eligible sectors.
Broad Street Capital emphasizes the worth of active management by using multiple strategies to enhance value while at the same time preventing any one strategy's underperformance from seriously impacting returns.
Broad Street Capital oversees and advises on Fixed Income Portfolios of its Bond Products by uniting top ranked external Asset Manager Groups of specialists dedicated to different market sectors. While the investment responsibilities of each group are distinct, successful implementation involves sinuous and inseparable interaction.
While good performance is important, Broad Street Capital also feels that the management of risk is a crucial part of the investment process. To this end, Broad Street Capital incorporates a variety of risk reduction strategies, aiming to approximate a benchmark's risk while exceeding its return.
Finally, Broad Street Capital is committed to excellence in client service. Broad Street Capital expands its relationship base only when resources are available to continue to provide excellent performance and service to existing clients.