Enhanced Cash

Overview

The Enhanced Cash strategy’s objective is to meet an individual client’s short-term cash needs. The portfolio seeks to preserve capital and maximize current income, while matching our view regarding the current interest rate environment and its cyclical behavior over the next 12 months. The Enhanced Cash Style is primarily comprised of Repo, U.S. Government securities, U.S. Government agencies, and corporate bonds with a minimum credit quality of A-. The portfolio is benchmarked against 90-day treasury bills.

Portfolio Management

Paula Horn

Chief Investment Officer,
Senior Portfolio Manager

William O’Connor, CFA

Senior Portfolio Manager

Kevin Conrath

Portfolio Manager

Key Investment Personnel

Richard Scargill

Director of Fixed Income Strategies Senior Portfolio Manager

Keith Weldon, CFA

Senior Portfolio Manager

Eric Zenner, CFA

Senior Portfolio Manager

Dan Kralovec

Associate Portfolio Manager

Derek Grifka

Associate Credit Analyst
Snapshot

Benchmark: 90 Day T-Bills
Inception Date: July 1, 1992
Investment Team: Fixed Income Group

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