Ryan Labs Asset Management offers actively managed fixed income strategies to institutional investors. Our diversified, disciplined, and structured investment process is employed versus Bloomberg Barclays Capital indexes, as well as custom liability indexes for LDI objectives. Ryan Labs employs a disciplined investment process that seeks to add value through issue selection and sector rotation, not through interest rate anticipation. All of our strategies are actively managed in a total return framework.
In 1991, Ryan Labs became the first asset manager to create and manage a bond portfolio versus a daily Custom Liability Index®. As of March 31, 2019, Ryan Labs manages over $9.6 billion in assets. In 2015, Ryan Labs was acquired by Sun Life Financial.