Newfleet Asset Management

since 1989
  • 11-50 employees
  • Investment Management

Newfleet Asset Management

Newfleet Asset Management is a multi-sector fixed income manager with more than a quarter century of experience investing across the full fixed income universe. Identifying relative value is the cornerstone of the firm’s philosophy and process. Newfleet believes that active sector rotation, based on relative value across the full fixed income universe, combined with rigorous credit analysis and disciplined risk management, is the most effective means of achieving competitive returns in the fixed income market over time.

Newfleet Asset Management is a division of Virtus Fixed Income Advisers, LLC (“VFIA”), an SEC registered investment adviser.

For important disclaimers, go to https://www.newfleet.com/social-media-guidelines

Expertise

Fixed Income, Multi-Sector Fixed Income, Specialty Fixed Income, Portfolio Management, Short Duration, Opportunistic, Flexible Credit, Sector Strategies, Bank Loans, High Yield, and Tax-Exempt Municipal Bonds

FIVE REASONS LEVERAGED LOANS REMAIN ATTRACTIVE
  • 3 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.

LEVFIN INSIGHTS Q&A WITH NEWFLEET BANK LOAN SECTOR HEAD
  • 9 days ago

In a Q&A with LevFin Insights, Frank Ossino, bank loan sector head  and senior managing director at Newfleet, gives his perspective on current trends in the loan market.

SPOTLIGHT ON GLOBAL CREDIT: JULY 2025
  • 9 days ago

Newfleet’s monthly update on the macroeconomic backdrop, global fixed income performance, and select sector highlights.

HIGH YIELD MARKET UPDATE: JULY 2025
  • 10 days ago

Market Update available for the High Yield sector.

BANK LOAN MARKET UPDATE: JULY 2025
  • 11 days ago

Market Update available for the Bank Loan Market Sector.

A MULTI-SECTOR APPROACH TO CORE PLUS FIXED INCOME
  • 12 days ago

Adding a multi-sector approach to a core plus strategy can open up opportunities to find yield while retaining its risk-hedging qualities.

2Q25 NEWFLEET MARKET REVIEW & OUTLOOK - MULTI-SECTOR
  • 1 month ago

Uncertainty weighed on the markets early in 2Q but gave way to better performance later due to resilient economic data and cooling inflation.

SPOTLIGHT ON GLOBAL CREDIT: JUNE 2025
  • 1 month ago

Newfleet’s monthly update on the macroeconomic backdrop, global fixed income performance, and select sector highlights.

BANK LOAN MARKET UPDATE: JUNE 2025
  • 1 month ago

Market Update available for the Bank Loan Market Sector.