Our team of professionals in investments, client services, operations, compliance and support acts as a single, integrated unit. These highly qualified and motivated individuals provide the depth and strength required of a leading, performance-focused, institutional asset manager. Dominic is the CEO for Pacific Asset Management and a member of the firm's Executive Committee.
He has served in a senior role with the firm for over a decade, primarily overseeing business development matters during this span. Prior to joining the firm in 2008, he was a Vice President at Lombardia Capital Partners and LM Capital Group, an institutional global fixed income manager. Prior to LM Capital, Mr. Nolan worked at Fidelity Investments.
He has served in a senior role with the firm for over a decade, primarily overseeing business development matters during this span. Prior to joining the firm in 2008, he was a Vice President at Lombardia Capital Partners and LM Capital Group, an institutional global fixed income manager. Prior to LM Capital, Mr. Nolan worked at Fidelity Investments.
Services
Our focus on corporate credit securities enables us to provide clients with a broad range of actively managed income strategies. Pacific Asset Management portfolios span multiple fixed income asset classes, sectors, maturities and credit quality levels, enabling investors to achieve targeted exposures to the credit asset classes that will help optimize their investment portfolios.
An actively managed portfolio of high yielding corporate bonds offers investors the potential to enhance overall diversification and boost current income. Through a selective, credit intensive approach, our experienced high yield team builds portfolios from the bottom up - one issuer at a time, with a keen eye for value.
When selecting a core or core-plus fixed-income strategy, we believe investors should consider the management team's expertise, market access, and transactional agility. The strategy seeks to outperform the Barclays U.S. Aggregate Index by investing primarily in investment-grade debt, with a focus on corporate credit.
The dynamic nature of credit markets presents opportunities for investors to improve outcomes by tactically allocating capital among asset classes. Our approach seeks to gain an advantage based on our focus and perspective in credit, and agility within credit asset classes.
Our Strategic Credit strategy invests opportunistically across the broad range of bank loan, high yield and investment grade opportunities with emphasis on relative value analysis.
Our Strategic Credit strategy invests opportunistically across the broad range of bank loan, high yield and investment grade opportunities with emphasis on relative value analysis.
Pacific Asset Management is committed to participating in a thoughtful and candid dialogue with the institutional investment community. Farewell 2020 - Adjectives don't fully express what this year was for capital markets, real economies, and the globe. March saw the greatest level of credit market volatility since the Global Financial Crisis (GFC).
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