December Bond Policy Update
Crawford's bond policy reflects the firm's stance on the fixed income markets, interest rates, inflation, and more.
November Bond Policy Update
Crawford's bond policy reflects the firm's stance on the fixed income markets, interest rates, inflation, and more.
Expect the Unexpected
At Crawford, our strategies are engineered to embrace the reality of uncertainty. We prefer to pursue an active management process that seeks diversification across sectors, industries, and position sizes.
September Bond Policy Update
Crawford's bond policy reflects the firm's stance on the fixed income markets, interest rates, inflation, and more.
Insights from the Equity Research Team
In this piece, we take recent commentary from various members of the Equity Research Team and share it with our readers.
Crawford Bond Policy Update
Crawford's bond policy reflects the firm's stance on the fixed income markets, interest rates, inflation, and more.
The Big Four: Sifting Through Economic Data
The Big Four provides a framework for our thinking, enabling us to continue to take a long-term approach to investment decision making.
Defining Return Expectations by Employing a TSR Framework
Our internally developed TSR methodology is one important enhancement to our proprietary process that relies entirely on our produced research & analysis.
Stock Rating System
We utilize a formal, subjective stock rating system to communicate how we are evaluating individual investment opportunities.
An Extreme Environment
As investors in high quality small cap companies, we have faced a uniquely challenging environment since the beginning of the COVID-19 pandemic.
Interview with Aaron Foresman, CFA: Managed Income Portfolio Manager
Interview with Aaron Foresman, CFA: Managed Income Portfolio Manager
Interview with Boris Kuzmin, CFA: Small Cap Portfolio Manager
How did you first get interested in small cap investing, and how has that developed in your time at Crawford?