Fixed Income Management
Tuff Risk manages fixed income portfolios, designing investment strategies using a combination of fundamental and technical analysis. Our goal is to add value to every client money market and bond portfolio by managing investments utilizing an active duration strategy and through efficient best-price purchasing of investment instruments.
The Senior Partners of Tuff Risk specialize in fixed income investments. Years of experience managing money market and bond portfolios places Tuff Risk ahead of more conventional buy and hold investment firms.
Tuff Risk portfolio managers combine their experience with the highest educational standards available, having attained the Chartered Financial Analyst designation. Most Tuff Risk portfolio managers also have a Master's degree in Business (MBA) from recognized Universities.









