Public Fixed Income
What is Public Fixed Income?
Public Fixed-Income is traditionally known as the lower volatility segment of a client portfolio and entails the largest public asset market in the world. Despite the challenges for fixed-income over the past 15+ years of a low interest rate environment, it is meant to offer stability and predictable income within a larger portfolio.
Affinity Financial Group uses its Portfolio Manager status to access a blend of active and passive fixed-income strategies. Much like the equity segment of our larger portfolios, we use a mix of active and passive strategies that seek a strong net of fee return profile. We are free to use any form of investment structure (ETF, Mutual Fund, Individual Bond)