Dolan McEniry Core Plus

Credit-focused fixed income, built on conviction and value.

The Dolan McEniry Core Plus Strategy offers a differentiated approach to fixed income by blending high-quality investment-grade corporate bonds with opportunistic allocations to high-yield credit. Managed by Dolan McEniry Capital Management—an independent, entrepreneurial partner of iM Global Partner—the strategy emphasizes bottom-up credit selection, fundamental value, and a long-term lender mindset. With a proven track record of navigating credit markets across cycles, the Core Plus Strategy seeks to deliver consistent income and attractive returns while maintaining  moderate credit risk and duration neutrality to intermediate indexes. It is designed for institutional investors seeking a dynamic and actively managed core fixed income allocation.

Dolan McEniry

Manager

September 1997

Inception of Strategy

USD

Base Currency

Investment Philosophy

At Dolan McEniry, the investment philosophy is grounded in a disciplined, simple, repeatable approach to credit selection that emphasizes credit quality, value, and transparency. The team actively follows over 900 companies and 3,000 bonds, seeking to identify compelling relative value across the corporate bond universe. Portfolio construction is driven by in-house fundamental analysis, stringent pricing discipline, and ESG considerations. Credits at attractive prices are only added to client portfolios after rigorous credit analysis of the issuer centered on the free cash flows—ensuring that every investment reflects high conviction, aligns with long-term client goals, and meets the standards of a thoughtful, entrepreneurial manager.

Dolan McEniry doesn’t rely on rating agencies or third parties research houses but conducts all its research in house to independently assess issuers’ creditworthiness. This integrated framework allows the team to identify attractive risk-adjusted opportunities through the credit cycle. It prefers issuers with dependable cash flows to cover interest requirements and does not invest in banks or broker/dealers. The outcome is a high-conviction portfolio backed by rigorous research and long-term thinking—designed to serve institutional investors with clarity, consistency, and trust. Dolan McEniry has never faced any corporate bond default in any of the concentrated portfolios it manages.

The Team

Daniel Dolan, Jr.

Dolan McEniry
Managing Member,
Portfolio Management &
Security Selection

Roger McEniry

Dolan McEniry
Managing Member,
Portfolio Management &
Security Selection

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