Broad Street Capital Markets Group
Process
..............................................................................................................
The strategic goal at Broad Street Capital is to add value to client portfolios while adhering to a disciplined risk control process. The investment management team seeks to exceed benchmark returns while approximating benchmark risk. To accomplish this goal, the Broad Street Capital targets four main strategies: sector allocation, issue selection, duration exposure and term structure weighting. For global portfolios, country/currency allocations form a crucial fifth element. These areas represent the primary sources of added value in active fixed income management.