Johnson Institutional Management has been managing fixed income assets for more than 34 years with the same quality approach. Our disciplined strategy emphasizes investment-grade, intermediate maturities to provide more consistent performance and non-government securities to provide excess return. We understand that income drives returns in the long-term and that fixed income investments should behave like bonds, especially during periods of stress. Rigorous fundamental credit analysis leads to proper portfolio sector and security diversification, focusing on the most attractive value available in the marketplace. Our process never speculates on interest rates, but instead combines the best of a macro and micro strategy to build customized fixed income portfolios around the objectives and constraints of our clients.
We believe that your fixed income portfolio should be tailored to meet your specific needs and objectives. We apply this same disciplined process across multiple duration mandates including enhanced cash, intermediate and core.