Fixed Income
FGP Corporate Bond Fund
About the fund
The FGP Corporate 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 of corporate issuers.
Why Invest in the Corporate Bond Fund?
- Compelling Team: Benefits from our Fixed Income team’s deep expertise, with members having diverse investment and research backgrounds.
- Strategic Yield Enhancement: Uses fundamental research to implement targeted credit and yield enhancement strategies, optimizing fixed income returns.
- Diversified Corporate Bonds: Invests in a diversified mix of fixed income securities from corporate issuers, providing a balanced approach to income generation and risk management.
Performance
INSTITUTIONAL AND DIRECT CLIENTS
Corporate Bond Fund
View Investment Policy Statement
Access the Investment Policy Statement to see the guidelines and strategies behind the FGP Corporate Bond Fund.
Portfolio Management Team
Ryan Domsy, CFA, MEcon, FRM
Executive Vice President & Portfolio Manager, Head of Fixed Income
Cameron Greenwood, CFA
Senior Vice President & Portfolio Manager, Fixed Income
Andy Thi, CFA
Head of Credit Research
Robert Head, BA
Senior Vice President & Research Analyst, Fixed Income
Siqi Chu, IBBA
Credit Analyst
Jesse Cotton, CFA, MBA
Fixed Income Trader
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