Fixed Income
FGP Corporate Plus Bond Fund
About the Fund
The FGP Corporate Plus Bond Fund aims to generate an attractive total investment return through income and long term capital appreciation primarily through investments in debt obligations and other evidences of indebtedness of Canadian, U.S., and international issuers. To achieve this, the Fund will invest in a diversified mix of fixed income securities and pooled funds.
Why Invest in the FGP Corporate Plus Bond Fund?
- Compelling Team: Benefits from our Fixed Income team’s deep expertise, with members having diverse investment and research backgrounds.
- Optimized Yield Strategies: Uses fundamental research to implement advanced credit and yield enhancement strategies, with the aim to improve overall portfolio performance.
- Diversified Corporate Securities: Invests in what we believe to be a well-rounded portfolio of fixed income securities from corporate issuers, with the aim to provide both stability and growth potential.
Performance (as of September 30, 2024)
INSTITUTIONAL AND DIRECT CLIENTS
Corporate Plus Bond Fund
ADVISORS
Corporate Plus Bond Fund
As of September 30, 2024
Formerly known as FGP Enhanced Yield Corporate Bond Fund, which was launched on January 15, 2013. Historical performance from June 30, 2003 to March 31, 2013 is based on the High Yield Fixed Income Composite, a model applied to portfolios whose investment guidelines were substantially similar to those of the Fund. From April 1, 2013 onwards performance is based entirely on the Fund.
Portfolio Analysis (as of September 30, 2024)
View Investment Policy Statement
Access the Investment Policy Statement to see the guidelines and strategies behind the FGP Corporate Plus+ Bond Fund.
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