| NASDAQ Exchange | United States Country |
The fund described focuses on investing a significant portion of its assets in various types of debt securities. With a primary strategy that includes putting at least 80% of its net assets (along with any borrowings for investment purposes) into debt instruments, it aims to provide investors with exposure to a mix of debt securities. These investments span across debt issued or guaranteed by the U.S. government, its agencies, or instrumentalities, as well as debt from non-U.S. governmental entities and corporations both within and outside of the United States. The inclusion of mortgage-related and asset-backed securities further diversifies the fund's portfolio. The fund’s management has the flexibility to invest in securities of any maturity, tailoring the fund's average portfolio maturity according to the investment adviser's strategic views.
The fund offers investment opportunities primarily through a variety of debt securities, detailed as follows: