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The OIM High Yield Fixed Income strategy is rooted in the idea that individual security selection produces the best opportunity for risk-adjusted excess returns over time. Through an extensive, bottom-up research process, our portfolio management team focuses on optimal bond selection of corporate bonds, preferred securities, bank loans, convertible securities and taxable municipal bonds. The team's emphasis is on relative value, and they closely manage all portfolio risk factors. The portfolio management team's objective is to produce predictable, consistent excess returns net of fees over the BofA/ML High Yield Master II Index.

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