SEIX Investment Advisors

since 1992
  • 51-200 employees
  • Investment Management

SEIX Investment Advisors

Founded in 1992, Seix Investment Advisors is a specialty fixed income manager providing investment grade and leveraged finance capabilities for institutional investors around the globe.

Seix seeks to generate competitive absolute and relative risk-adjusted returns over the full market cycle through a bottom-up focused, top-down aware investment process. Seix employs multi-dimensional approaches based on strict portfolio construction methodology, buy and sell disciplines, and trading strategies with prudent risk management as a cornerstone.

Investment Grade (Taxable) Strategies:
· Core
· Core Plus
· Corporate
· Intermediate
· Securitized
· Short Duration/Ultra-Short

Investment Grade (Tax-Exempt) Strategies:
· Short-Term Municipal Bond
· Intermediate Tax-Exempt
· Long-Term Tax-Exempt

Leveraged Finance Strategies:
· Floating Rate / Leveraged Loans
· Collateralized Loan Obligations (CLOs)
· Full Market High Yield
· Global High Yield
· High Quality High Yield
· Credit Opportunities

Multi-Sector:
· Multi-Sector Absolute Return Strategy

Seix Investment Advisors is a division of Virtus Fixed Income Advisers, LLC (“VFIA”), an SEC registered investment adviser.

For important disclaimers, go to https://bit.ly/43UXtNx

Expertise

Fixed Income Investment Management

Five Reasons Leveraged Loans Remain Attractive
  • 20 days ago

Think leveraged loans have run their course? Think again. Even as the Fed ceases rate hikes, loans may see more strong performance ahead.

Market Review and Outlook 2Q25 - Investment Grade
  • 1 month ago

Incredible volatility and a surprising rebound: Seix Investment Advisors unpacks the latest for investment grade credit in its comprehensive Market Review & Outlook.

Market Review and Outlook 2Q25 - Leveraged Finance
  • 1 month ago

Loans and high yield stayed resilient through volatility in 2Q, with solid returns and constructive fundamentals.

Market Review and Outlook 1Q25 - Investment Grade
  • 4 months ago

Investment grade credits were affected by investor fears around tariff announcements in 1Q. Learn what we think is ahead for this asset class in the latest Market Review & Outlook from Seix Investm...

Market Review and Outlook 1Q25 - Leveraged Finance
  • 4 months ago

Tariff fears sparked risk-off sentiment in 1Q. The good news? Valuations now look more attractive than they have been in a long time.

Market Review and Outlook 4Q24 - Leveraged Finance
  • 7 months ago

Strong performance in 4Q topped off a strong year for credit risk.

Market Review and Outlook 4Q24 - Investment Grade
  • 7 months ago

In 4Q, the Fed lowered rates despite a robust macroeconomic backdrop and inflation that remains above target. Learn how investment grade bonds are affected in the latest market review and outlook f...

Market Review and Outlook 3Q24 - Investment Grade
  • 10 months ago

“Bonds are definitely back!” Read Seix Investment Advisors’ 3Q discussion of easing, yield curves, the yen carry trade, and more.

Market Review and Outlook 3Q24 - Leveraged Finance
  • 10 months ago

A risk-on tone led lower-rated credits to outperform in 3Q.