Fixed Income
FGP Core Plus Bond Fund
About the Fund
The FGP Core Plus Bond Fund aims to generate an attractive total investment return through income and long term capital appreciation primarily through investments in debt obligations and other evidences of indebtedness of Canadian, U.S., and international issuers. To achieve this, the Fund will invest in a diversified mix of fixed income securities and pooled funds.
Why Invest in the FGP Core Plus Bond Fund?
- Comprehensive Bond Coverage: Invests in a diversified portfolio of federal, provincial, municipal, and investment-grade corporate bonds with strategic flexibility in allocations.
- Risk and Return: Leverages proprietary credit analysis and includes “Plus” components such as high yield bonds, hybrids, and convertibles in an attempt to optimize risk and return metrics.
- Opportunistic Additions: Makes opportunistic investments in foreign bonds and other asset classes with the aim of enhancing risk-adjusted returns.
Performance (as of September 30, 2024)
INSTITUTIONAL AND DIRECT CLIENTS
Core Plus Bond Fund
ADVISORS
Core Plus Bond Fund
FGP Core Plus Bond Fund was launched on October 31, 2017. Historical performance from December 31, 2015 to October 31, 2017 is based on the Core Plus Mandate, an investment model that preceded the Fund whose investment guidelines were substantially similar to those of the Fund. From October 31, 2017 onwards, performance is based entirely on the Fund.
Downloadables
Strategy Overview
Quarterly Commentary
Research Paper: The Times They Are A-Changin’ (Thought Leadership)
Research Paper: Central Banks are Leading the Charge Against Inflation
Research Paper: Government interference = short term noise
Research Paper: Why Canadian Banks Were Immune to Recent Market Stress
View Investment Policy Statement
Access the Investment Policy Statement to see the guidelines and strategies behind the FGP Core Plus+ Bond Fund.
Portfolio Management Team
Ryan Domsy, CFA, Mecon, FRM
Executive Vice President & Portfolio Manager, Head of Fixed Income
Robert Head, BA
Senior Vice President & Portfolio Manager
Cameron Greenwood, CFA
Vice President & Portfolio Manager – Fixed Income
Andy Thi, CFA
Head of Credit Research
Siqi Chu, IBBA
Credit Analyst
Jesse Cotton, CFA, MBA
Fixed Income Trader
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