Discover opportunity in volatility.
Flexible fixed-income solutions for changing markets
What if you could offer fixed-income solutions that aim to thrive, even through volatility? Our flexible, actively managed solutions strive to help manage risk — and capture opportunity — in changing environments.
NAVIGATE MARKETS WITH FLEXIBILITY
*Overall Morningstar Rating™ is for Institutional 3 shares, out of 566 Intermediate Core-Plus Bond funds, as of 06/30/22 and based on a Morningstar Risk-Adjusted Return measure.
As bond investing gets harder to navigate, plan participants want to know how to diversify and manage volatility. It takes a flexible bond strategy that actively responds to market conditions.
Fueled by research, Columbia Total Return Bond:
Adjusts duration to manage the impact of changing rates
Shifts sector allocations as market risks and opportunities evolve
Targets the most attractive securities to enhance outcomes in all environments