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Victory Strategic Income Fund
  • The Fund seeks high current income with a secondary objective of capital appreciation via a diversified portfolio of investment grade, high yield domestic and overseas bonds.
  • The team analyzes income and price appreciation potential relative to the credit fundamentals of each issuer along with broad economic, political, and regulatory risk assessment.
  • The “go anywhere, best ideas” Fund may invest in fixed-income obligations of any kind and maturity, including U.S. and foreign investment grade and high-yield bonds.
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Summary prospectus, prospectus, annual and semi-annual reports, and SAI

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What are risk measures?

Risk Measures

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Top 10 Holdings

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What are characteristics?

Characteristics

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Quality Structure

Investment Approach 
 
The Fund’s management team seeks high current income with a secondary objective of capital appreciation by combining active and flexible sector allocation with disciplined risk management. This go-anywhere, best-ideas fund invests in a diversified portfolio of investment grade, high yield, domestic, and foreign securities, some of which may be outside its benchmark, the Bloomberg Barclays U.S. Aggregate Bond Index. 

 

Philosophy and Process 
 
The investment team focuses on rigorous, independent fundamental research that includes macroeconomic, company-specific and security-specific factors. The team researches broad economic, political, and regulatory matters, as well as the structure and conditions of each security, its issuer, and its sector and industry. We take a risk-conscious fundamental value approach that recognizes that a narrow focus on yield doesn’t necessarily produce the best returns. We evaluate potential returns relative to risk and seek both income and price appreciation. The Fund mitigates risk by researching and diversifying its holdings. 

 

Management Team

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