Fixed Income Sales & Trading

Efficient execution of trades is a necessity. Once an institution-specific strategy has been developed, our traders filter the street for the best bonds that fit your institution and execute those transactions at the best price possible.

Clients need access to a variety of products and choices when making investment decisions. Some desire tax-exempt securities, others look for bonds that will provide a stream of cash flow, and still others want structures that help the portfolio achieve its objectives. Support and analysis don’t end with the trade; positions are tracked for performance and the strategy itself is continually monitored within the context of the entire balance sheet and the institution’s goals and objectives. Pretrade documentation is also important so that the unique characteristics of the bond can be assessed and analyzed prior to the transaction, and filed for future reference. Whatever the strategy, The Baker Group’s trading desk can find the right bonds, do the analysis, and provide the documentation.