Thornburg Core Plus Bond Fund Q1 2025 Commentary
2025-06-03 22:45:00 ET
Summary
- The first quarter of 2025 was characterized by significant volatility and complexity across global financial markets that was not driven by a singular trend but was a tug-of-war between multiple forces.
- In 1Q25, the portfolio (I share class) returned 3.03%, 25 basis points ahead of the Bloomberg U.S. Universal Index.
- The portfolio maintained a duration modestly longer than the index, which aided relative performance during a period of falling yields.
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