Seix Advisors

We have been managing dedicated high yield portfolios for over a decade. With over $9 billion in high yield assets under management, the firm ranks as one of the largest and most successful institutional managers in the country.

Although best known for our flagship High Quality High Yield Strategy, we offer a variety of portfolio strategies that invest across the entire credit quality and capital structure spectrum.

Regardless of the portfolio strategy selected, the foundation for success at Seix remains the same: In-depth credit research conducted by an experienced team of industry specialists.

Seix High Yield Platform

Flagship High Yield
Our flagship strategy dates back to 1997. This portfolio invests exclusively in the healthiest segment of the high yield market, liquid BB and B rated bonds.

High Yield Plus
A more opportunistic approach to High Yield investing, this portfolio allows for more concentrated positions and moderate investments in CCC rated securities.

Bank Loans
Senior in the capital structure to bonds, this portfolio comprised of High Yield Bank Loans, invests primarily in senior secured BB and B rated floating rate loans and other floating rate securities.

Mountainview CLO Series
A leveraged portfolio invested primarily in high yield floating rate bank loans, this cash flow vehicle offers investors an opportunity to participate according to their risk preferences, from AAA rated debt to equity.

Credit Opportunities Fund
This hedge fund structure utilizes the entire skill set at Seix Advisors with a goal of achieving an attractive absolute return regardless of the credit or market environment.

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