| TYPICAL INVESTOR:
|
 |
Municipalities, State Regulated Funds/Assets |
| |
| TYPICAL OBJECTIVES: |
 |
Government and Agency Diversified Portfolio |
 |
High Quality |
 |
Total Return |
 |
Moderate to High Interest Rate Risk |
| |
|
| AVERAGE MATURITY RANGE:
6- 10YRS. |
| AVERAGE DURATION RANGE: 4
- 6YRS. |
| AVERAGE CREDIT QUALITY:
AA OR ABOVE |
| |
|
| SECTORS: |
 |
U.S. Government, Agency and Mortgage |
| |
|
| BENCHMARKS: |
 |
Barclays Government |
 |
Merrill Lynch Government |
 |
Citigroup Government |
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