Put Your Cash to Best Use
Peter Yi, CFA
Director, Short Duration Fixed Income and Head of Taxable Credit Research
Custom strategies built to help you manage cash along the spectrum of liquidity needs.
When it comes to your cash, one size simply does not fit all. Understanding how to categorize your cash to align with your risk, return and liquidity needs and expectations can drive an effective investment strategy.
Northern Trust liquidity strategies manage cash along the liquidity spectrum of investor needs — from operational to reserve to longer-term, strategic uses of cash. Our deep global expertise in rates, credit and risk management — together with our global scale — can help clients navigate changing economic landscapes.
Strategies focus on high credit quality securities, structured in an effort to preserve principal, provide liquidity and generate a competitive return. Strategies are available in multiple vehicles and custom solutions for institutional and individual investors, utilizing both taxable and tax-exempt securities.
- Global Expertise. Our scale and deep expertise in rates, credit and risk management helps investors navigate changing market environments.
- Quality and Risk Management. We focus on high quality securities that aim to preserve principal, provide liquidity and generate competitive returns.
- Integrated Investment Process. A robust investment process emphasizing macroeconomic analysis, credit research and risk management.
We answer some of the most common questions clients have about money markets in this challenging market.
New developments have emerged for the money market industry that are designed to keep the short-term markets functioning and restore calm for investors. Peter Yi, director of short duration fixed income, explains.