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Competitive Advantages
DCM’s performance shows the benefits of specialization which leads to
lower volatility relative to our Bank of America Merrill Lynch All U.S. Convertible Index
benchmark and other equity indices we compare ourselves against. DCM’s
long-term perspective of having successfully managed convertible
securities portfolios for 25+ years, along with the skill from many
years of experience and hard work leads to a knowledge advantage that
translates to consistency over long periods of time. The DCM convertible
strategy seeks to achieve the long-term returns characteristic of stocks
combined with enhanced returns relative to fixed income. Risk controls
for preservation of capital by using short dated convertible securities,
which mitigate the downside risk but still leave the possibility of
upside potential, is an essential component of our investment strategy.
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