Fixed Income  
SSgA’s Fixed Income strategies seek to consistently exceed relevant benchmark returns by capturing excess returns overlooked or unattainable by less robust methodologies, without incurring unnecessary investment risk. Our Fixed Income Group employs both quantitative and qualitative methods to meet client-mandated goals and objectives. Backed by the strength and resources of State Street’s global organization, we are a leader in developing and utilizing advanced portfolio management techniques and technologies in an effort to maximize risk adjusted returns.
  Fixed Income Highlights
Kheng Siang Ng and Nigel Foo: Asian Economic and Bond Market Outlook for Q4 2008
Chris Probyn, Dan Peirce: Responding to Recession 
SSgA Names Richard Lacaille to Global CIO
Mike Brown: The Evolution of a New Liquidity Paradigm
  All Fixed Income Publications
  Find Strategies
 
Geography:
Approach:
Risk/Return: