Portfolios & Managers
 Fred Alger Management, Inc.
 AllianceBernstein L.P.
 Analytic Investors, LLC
 Batterymarch Investment Management, Inc.
 BlackRock
 Capital Guardian Trust Company
 Capital Research and Management Company
 ClearBridge Advisors, LLC
 Columbia Management Advisors, LLC
 Fidelity® Management & Research Company
 Goldman Sachs Asset Management L.P.
 Highland Capital Management, L.P.
 Janus Capital Management LLC
 Jennison Associates LLC
 J.P. Morgan Investment Management Inc.
 Lazard Asset Management LLC
 UBS Global Asset Management (Americas) Inc
 MFS Investment Management®
 NFJ Investment Group L.P.
 Nicholas-Applegate Capital Management
 OppenheimerFunds, Inc.
 Pacific Asset Management
 Pacific Investment Management Company LLC (PIMCO)
 T. Rowe Price Associates, Inc.
 Van Eck Associates Corporation
 Van Kampen
 Pacific Life Fund Advisors
 Vaughan Nelson Investment Management LP
 Western Asset Management Company


Highland Capital Management LP

This general information is provided by and used with the permission of this manager.  It may not contain information about the Pacific Select Fund portfolios managed by this manager.  Pacific Select Fund portfolios are available only through Pacific Life & Annuity's variable products.
 

Founded in 1993, Highland Capital Management, L.P. (“Highland”) is an SEC-Registered Investment Advisor, specializing in fixed income alternative investment strategies. Highland is headquartered in Dallas, with an office in New York and an investment subsidiary in London.  Highland has become one of the largest investment managers in the loan asset class not only in terms of assets, but also investment professionals with over 127 investment specialists.

 Investment Philosophy

  • They employ a fundamental, bottoms-up investment approach that is enhanced by an industry focused structure that enables their professionals to spend more time focusing on individual credits
  • Their investment process is further enhanced by a fund-specific, top-down analysis at the portfolio management level
  • They believe the disciplined application of these two processes results in consistent out-performance/alpha generation

Attributes

  • Approximately $38.3 billion in total assets under management as of December 31, 2007

Portfolios Managed
Pacific Select Fund

 

Data as of December 31, 2007.

Although some portfolios may have names or investment objectives that resemble retail mutual funds managed by the portfolio manager, these portfolios will not have the same underlying holdings or performance as the retail mutual funds.

You should carefully consider a variable life insurance product’s risks, charges, limitations and expenses, as well as the risks, charges, expenses and investment objectives of the underlying investment options. The accompanying product and underlying fund prospectuses contain this and other information about Pacific Life & Annuity Company. Read them carefully before investing or sending money.

This material may only be used in connection with the solicitation of Pacific Life & Annuity Company products in those states where the product solicited has been approved. Product features and availability vary by state.

CWEB-L-NY-16

 

 


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