Overview

Investment-grade corporate bonds, selected by Conning’s deep and experienced investment team, based on careful analysis of issuer fundamentals and valuations.



Seeks to achieve favorable risk-adjusted total return relative to appropriate market benchmark.

Proprietary research, analysis and trading by highly experienced team; qualitative and quantitative analysis of relative value; portfolio diversification key to effective risk management.

Invests in corporate debt issuers rated BBB-/Baa or higher; strong focus on managing credit risk.

Seeks to achieve favorable risk-adjusted total return relative to appropriate market benchmark.



Proprietary research, analysis and trading by highly experienced team; qualitative and quantitative analysis of relative value; portfolio diversification key to effective risk management.



Invests in corporate debt issuers rated BBB-/Baa or higher; strong focus on managing credit risk.