OUR STRATEGIES

FIXED INCOME 

FOCUSED ON ALTERNATIVE YIELD

  • East West believes that the multi-decade bull market in bonds has created an environment where investors will most likely face low future real returns; or, potentially, sizable losses on their traditional fixed income holdings.  

  • East West alternative yield portfolios generate steady cash flows, smooth returns, and less correlation to traditional markets.  This enables investors to weather the ups and downs from their more volatile equity holdings.

  • East West’s model alternative yield portfolio, established in 2016, has achieved gross annualized returns of over 10% .  Please click here to download a summary of the strategy.

PUBLIC EQUITIES

FOCUSED ON INTERNATIONAL

  • East West constructs equity portfolios targeting increased returns with reduced volatility.

  • East West’s equity portfolios generally encompass the following strategies:

    • Meaningful international equity exposure. 

    • Non-traditional ETFs.  

    • Opportunistic individual equity holdings.

    • Systematic rebalancing.