Red Cedar Investment Management is a global, active asset manager with a seasoned Portfolio Management team that has successfully worked together for 15 years and through many market cycles. Our focus is on developing long-term partnerships with our clients by providing high quality, income producing strategies through research across the capital structure and an expertise in managing Preferred securities.
We believe that a rigorous, fundamental investment process which focuses on the most attractive securities in the income universe can help produce improved risk adjusted returns for clients.
Low correlation to traditional asset classes
Yield advantage to traditional securities
Opportunities in an inefficient sector
Core plus fixed income
We believe a portfolio with general target of 70% core fixed income securities provides a foundation for the portfolio. The Core Plus Fixed Income strategy seeks to add value through three major themes: global flexibility, low correlation amongst sectors and a relative value approach with emphasis on high quality and high current yield.