Seix employs a clearly defined investment style and philosophy, utilizing a fundamental approach that is bottom-up focused and top-down aware. Our team of seasoned fixed income portfolio managers executes the process with the support of a team of career analysts.
With approximately $27.6 billion in assets under management (as of 12/31/16), we are big enough to matter but small enough to remain nimble in each of the investable fixed income sectors. This combination has helped Seix generate competitive absolute, relative and risk-adjusted returns over multiple market cycles.
Our primary focus is managing fixed income assets for institutional clientele. The organization’s efforts and resources are devoted to this asset class and this important investor type.