The content on this website is intended for investment professionals and institutional asset owners. Individual retail investors should consult with their financial advisers before using any of the content contained on this website. Breckinridge uses cookies to improve user experience. By using our website, you consent to our cookies in accordance with our cookie policy. By clicking “I Agree” and accessing this website, you represent and warrant that you are agreeing to the above statements. In addition, you have read, understood and agree to the terms and conditions of this website. The content on this website is not intended for use or distribution outside of the U.S., unless permitted by applicable law.

Government Credit

  • Benchmark Bloomberg US Gov/Credit

The Government Credit Strategy is an investment grade, long-intermediate duration bond portfolio that seeks to preserve capital and prudently improve returns.

This strategy is designed for investors who have a higher tolerance for price volatility relative to shorter duration strategies. Eligible investments include U.S. Treasury, government-related and corporate bonds. The strategy employs active management, bottom-up research and proactive portfolio positioning.

Investment Objective

Preserve capital and prudently improve returns

Eligible Investments

Treasury Bonds

Government-Related Bonds

Corporate Bonds

Strategy Information

Inception Date: January 2010

Strategy AUM: $322 Million

Get more information on this product

For more information on performance, customization and other characteristics please submit this form and a member of our Consultant Relations team will be in touch.

Please fill out the form below.

The information above is current as of 9/30/22.