Our Amundi US Short Term Income Strategy seeks to achieve a high level of income and stability of principal.

                       

                        

                       

   

Our Amundi US Short Term Income Strategy is a short-term strategy that invests across a diversified1 portfolio of US government, corporate, mortgage and asset-backed securities, with a 20% limit on non-investment grade exposure.

1Diversification does not guarantee a profit or protect against a loss.

Nicolas Pauwels, CFA

Vice President
Deputy Director of Securitized Credit
Portfolio Manager

Biography

Noah Funderburk, CFA

Senior Vice President
Director of Securitized Credit
Portfolio Manager

Biography

Overview

  • Diversifies from a wide range of fixed income sectors and low correlations of investment grade and non-investment grade debt markets
  • Employees active asset allocation methodology
  • Selects individual securities

Why Amundi US?

The Strategy is managed within a strong fixed income investment culture focused on sound, fundamental research. Key features of the Amundi US Short Term Income Strategy include:

  • Seasoned investment team: Boasts strong industry experience
  • Active asset allocation methodology: Employs active, dynamic asset allocation in order to manage changing levels of portfolio and market risk 
  • Diversification: Invests across many different US dollar fixed income asset classes, sectors, credit ratings, and security structures