
Investment Strategies
Tailored strategies designed to preserve, grow and protect. We specialize in developing and managing customized investment strategies designed for institutional investors.
Fixed Income Strategies
Fixed income strategies focused on global bond markets, supported by research-driven analysis and active risk management.
Unconstrained Strategies
Designed to balance capital preservation and growth through the flexibility to invest across global credit markets.
Flexible, benchmark-agnostic strategy built to seek consistent returns and minimize drawdowns across market environments
Diversified global fixed income exposure across public markets, spanning corporates, securitized assets, sovereign bonds, rates, and currencies.
Risk-aware process with dynamic asset allocation and macro-informed hedging to protect and compound capital over time
Balanced Strategies
A balanced strategy that combines U.S. stocks, bonds, and cash to support long-term growth and capital preservation, drawing on insights from Payden’s economists, strategists, and analysts.
A diversified mix of equities, fixed income, and cash aligned with client return and risk preferences.
Equity and bond selections blend fundamental research with quantitative insights across macro trends, valuations, asset flows, and technical factors.
Flexible mandates tailored to investor goals, with portfolios structured for absolute or relative return and customized from benchmark to portfolio tilt.
Equity Income Strategy
An equity strategy designed for risk-focused investors seeking income and long-term price appreciation.
Equity strategy focused on consistent income, capital appreciation, and risk control
Invests in high-quality large-cap stocks with growing dividend potential
Actively managed across common stocks, preferreds, REITs, and MLPs
Discover what’s possible
Unlock new opportunities with bold ideas, thoughtful guidance, and a vision tailored to you. One of our advisors will be in touch to discuss the way forward.