Aristotle Strategic Income Fund Class I is an institutional share class mutual fund focused on generating income by investing primarily in debt securities. The fund is structured as a multisector bond portfolio, actively diversifying its assets across multiple areas of fixed-income markets, most notably prioritizing corporate debt, including investment-grade, high-yield, and bank loans. It also has the flexibility to allocate portions of its portfolio to U.S. government obligations and foreign bonds, allowing broad sector and geographic diversification. A hallmark of the fund is its emphasis on corporate credit research and security selection, under the guidance of an experienced fixed-income management team. The fund targets a high level of current income, but also aims for long-term capital growth, making it suitable as a complement to traditional fixed-income holdings. By maintaining a medium credit quality profile and limited interest rate sensitivity, the fund seeks to balance yield generation with risk management, thereby playing a vital role for investors seeking diversified multisector bond exposure in their portfolios.
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