VIRTUAL EVENTS

Redefining core fixed income exposure in today’s market

In today’s unique fixed income environment, active management can be a difference-maker.

Join the professionals at Sterling Capital Management for a product due diligence session that explores two unique active fixed income products. One that redefines how investors can approach their core bonds and another that uses a multi-sector strategy.

January 21, 2026
9:30a PT | 12:30p ET
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SUMMARY

Topics covered will include:

  • An overview of the fixed income market.
  • How to think about core bond exposures.
  • How a multi-sector fixed income strategy can help boost your portfolio.

SPEAKERS

Pete Brown, CFA

Managing Director
Sterling Capital Management LLC

Brian Martin, CFP®, CIMA

Executive Director – National Accounts
Sterling Capital Management LLC

Roxanna Islam, CFA, CAIA

Head of Sector & Industry Research
VettaFi

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Important Disclosures

Past performance is not indicative of future results. Any type of investing involves risk and there are no guarantees that these methods will be successful. Economic charts are provided for illustrative purposes only. The information provided herein is subject to market conditions and is therefore expected to fluctuate.

The opinions contained in this presentation reflect those of Sterling Capital Management LLC (SCM), are for general information only, and are educational in nature. The opinions expressed are as of the date of publication and are subject to change without notice. These opinions are not meant to be predictions and do not constitute an offer of individual or personalized investment advice. They are not intended as an offer or solicitation with respect to the purchase or sale of any security. This information and these opinions are subject to change without notice. All opinions and information herein have been obtained or derived from sources believed to be reliable. SCM does not assume liability for any loss which may result from the reliance by any person upon such information or opinions.

Investment advisory services are available through SCM (CRD# 135405), an investment adviser registered with the U.S. Securities & Exchange Commission (SEC) and an indirect, wholly-owned subsidiary of Guardian Capital Group Limited. SEC registration does not imply a certain level of skill or training, nor an endorsement by the SEC. SCM manages customized investment portfolios, provides asset allocation analysis, and offers other investment-related services to affluent individuals and businesses.

SCM does not provide tax or legal advice. You should consult with your individual tax or legal professional before taking any action that may have tax or legal implications.