Mellon
 
Mellon

Fixed Income Investments

BNY Mellon Wealth Management applies disciplined, active management to maximize fixed income returns while controlling risk. This process is employed for both taxable and tax-exempt fixed income portfolios as well as liquidity management and high yield bond strategies. In managing these investments, our fixed income professionals draw upon exceptional knowledge and experience in this highly specialized investment discipline.

Our process combines a top-down strategic review of the key factors that influence bond returns with a bottom-up, research-driven analysis of market segments and individual security issues. Through this process, we seek to add incremental return by anticipating interest rate and economic trends, and capitalizing on bond market inefficiencies.

We work to preserve capital through careful adherence to investment guidelines and rigorous credit analysis. The result: a sound portfolio designed to outperform benchmarks consistently while controlling risk - in every market environment.
Mellon

TERMS OF USE | PRIVACY | BNYMELLON.COM | SITEMAP © 2007-2011 THE BANK OF NEW YORK MELLON CORPORATION. ALL RIGHTS RESERVED.