Bramshill Income Performance Fund follows the Bramshill Income Performance Strategy which Bramshill Investments has been employing for seven years. The investment team manages a high-quality fixed income investment portfolio with a flexible total return mandate. Bramshill assesses five asset classes in the U.S. credit markets to determine where we believe the best opportunities are available. When the risk-reward in the markets appears favorable, the fund will endeavor to maintain a profile which is designed to participate in market rallies. However, when credit market opportunities appear less favorable, the strategy will maintain a more conservative profile which aims to prevent against principal drawdowns. The Bramshill team customizes a liquid portfolio of income-generating assets which we believe can provide a high probability of generating a positive total return.