managing the balance of risk and reward

As specialists focused solely on the fixed-income markets, Caprin offers individualized portfolio solutions. Our knowledge, acquired through experience and ongoing market surveillance, allows us to manage the balance of risk and reward. Our comprehensive set of solutions, ranging from separately-managed accounts to actively-managed ETF-based strategies, enhances our ability to meet your needs for wealth preservation and income generation.

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Separate Account Solutions

Municipal Bonds

Taxable Bonds

Total
Return
INTERMEDIATE MATURITY
(Average Maturity 7-9 years)
    INTERMEDIATE MATURITY
(Average Maturity 4-5 years)
Lower
Volatility
SHORT MATURITY
(Average Maturity 1.0-1.5 years)
LOW DURATION
(Average Maturity 0.75-2.50 years)
LIMITED MATURITY
(Average Maturity 0.5-1.5 years)

Managed ETF Solutions

MUNICIPAL BOND STRATEGY TAXABLE BOND STRATEGY TACTICAL BLEND STRATEGY