Green Bonds: Investor Demand, Advisor Edge – Conversation with George Gay, Peter Higgins & Bill Mock

ESG investing and investing with a purpose are growing priorities for today’s investors and advisors need to be prepared to address these changing investor preferences. Shelton Capital Management is an experienced Green Bond manager utilizing an actively managed approach to fixed income portfolios which seeks to generate total investment returns through income and capital price appreciation. The firm manages mutual funds and SMA strategies for clients seeking an ESG, green, or sustainable focus.

Our managers employ a thorough top-down and bottom-up research approach based on soundly developed views of economic and business cycles as well as interest rate and credit cycles. The firm’s unique approach to portfolio construction aims to generate differentiated above-market returns that are uncorrelated to market benchmarks. It is also applied directly to ESG and impact investing in the US fixed income markets. Utilizing ESG factors in fixed income investing may generate unique uncorrelated returns and can help create desired social impact objectives.

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