Sprott’s flexible, multi-strategy approach offers a unique way to take advantage of opportunities in all sectors of the bond market.
Proven Investment Team & Strategies
Our fixed income investment managers have a track record of success managing funds for individual and institutional investors. The Team is led by Scott Colbourne, an industry veteran with experience managing fixed income and currency portfolios through all phases of the market cycle.
Flexible Investment Mandates
Our Managers have the flexibility to invest in all sectors of the bond market and use tactical asset allocation to maximize risk-adjusted returns. They take an active approach to currency management to enhance returns and mitigate risk. Short selling can also be used to provide additional downside protection.
Superior Risk Management
Our strict risk management process is based on our leading edge, proprietary analytics and disciplined investment selection.
Complementary to traditional fixed income
Our fixed income offerings are an ideal complement to traditional fixed-income funds and ETFs by providing added diversification and the potential to take advantage of opportunities in all sectors of the bond market.