Axonic Strategic Income Fund Class A is an actively managed multisector bond mutual fund focused on maximizing total return through a blend of current income and capital appreciation. The fund primarily invests in income‑producing fixed income instruments and, under normal circumstances, allocates at least 60% of net assets to such securities. Its opportunity set spans U.S. government and corporate bonds alongside securitized credit, with flexibility to include real estate investment trusts, mortgage‑related equities, and mortgage derivatives such as stripped mortgage‑backed securities and inverse floaters. The strategy’s breadth enables dynamic positioning across interest rate and credit cycles, seeking attractive risk‑adjusted returns relative to broad bond benchmarks such as the Bloomberg U.S. Aggregate Bond Index. Portfolio construction reflects a diversified approach typical of the multisector category, combining duration management, credit selection, and structured‑product expertise. The fund distributes income on a regular basis and has maintained a substantial asset base since launch, indicative of its role as a core‑plus income solution for investors looking beyond traditional aggregate bond exposure.
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