GE Asset Management’s fixed income team manages a wide variety of investment styles and strategies that span the yield curve and credit quality universe. The team has global expertise managing products designed to meet various customer risk / return parameters. GEAM’s fixed income team follows a relative value approach, emphasizing a fundamental, bottom-up process with the objective of enhancing returns while limiting volatility.
GEAM has an experienced team of portfolio managers, traders and research analysts with extensive experience and specialization across the fixed income sectors. The research team consists of credit, structured product, municipal, and quantitative analysts that are responsible for developing an independent GEAM credit rating, outlook, and recommendation for new or secondary issues. Various proprietary tools enhance GEAM’s fundamental research and investment decisions.
The research team is located in the U.S. and London.