It’s time to rethink fixed income.Greg Jeffs, Chief Investment Officer
The Algonquin Debt Strategies Fund was launched to offer Canadian investors a solution to the low interest rate environment. Our approach uses fixed income products to generate returns whether interest rates rise, fall or stay the same. The primary objective is to provide investors consistently strong returns with an emphasis on capital preservation. To achieve this, we invest primarily in North American investment grade bonds, using actively managed strategies and disciplined risk management.
Target consistently strong returns in the range of 6-9% (net of all fees and expenses) in all market environments.
Capital preservation through disciplined risk management.
Offer investors diversification from both equities and interest rates.