The Virtus Spectrum of Solutions
Virtus offers 20 fixed income mutual funds, three fixed income ETFs, and four wrap portfolios for investors. Click on the interactive chart below to view our range of solutions, plotted by credit quality and duration.
As of 03/31/2020.
|Product Name (I share)||1 Yr||3 Yr||5 Yr||10 Yr||Life of fund||Inception Date||30-daySEC Yield||30-day SEC Yield(Unsubsidized)|
|Virtus Seix U.S. Government Securities Ultra-Short Bond Fund||1.68||1.65||1.16||1.12||2.14||2||1.74||1.65|
|Virtus Seix Ultra-Short Bond Fund||-0.44||1.11||1.03||1.09||1.98||2||2.31||2.08|
|Virtus Seix Floating Rate High Income Fund||-11.11||-1.64||0.64||2.87||3.09||2||5.05||4.92|
|Virtus Newfleet Senior Floating Rate Fund||-11.52||-2.17||0.05||2.44||3.31||2||5.92||5.86|
|Virtus Seix Short-Term Bond Fund||4.39||2.30||1.56||1.60||3.41||2||0.28||-0.24|
|Virtus Newfleet Low Duration Core Plus Bond Fund||-0.35||1.42||1.55||2.61||4.11||2||2.93||2.75|
|Virtus Newfleet Multi-Sector Short Term Bond Fund||-2.14||0.83||1.69||3.19||4.04||2||3.34||NA|
|Virtus Seix Short-Term Municipal Bond Fund||2.09||1.75||1.21||2.10||3.54||2||1.13||0.44|
|Virtus Seix High Yield Fund||-5.11||1.33||2.27||5.01||5.98||2||6.20||6.06|
|Virtus Seix High Income Fund||-10.18||-0.56||1.54||4.67||6.64||2||8.99||8.72|
|Virtus Newfleet High Yield Fund||-7.91||-0.31||1.98||NA||3.47||2||10.94||10.49|
|Virtus Seix U.S. Mortgage Fund||6.64||3.71||2.57||3.25||4.48||2||2.14||1.69|
|Virtus Newfleet Multi-Sector Intermediate Bond Fund||-5.24||0.20||2.09||4.20||4.83||2||5.39||5.27|
|Virtus Newfleet Core Plus Bond Fund||2.72||3.11||2.86||4.08||5.44||2||2.94||2.71|
|Virtus Seix Investment Grade Tax-Exempt Bond Fund||4.34||3.44||2.60||3.61||4.85||2||1.03||0.80|
|Virtus Newfleet Tax-Exempt Bond Fund||3.30||3.31||2.59||3.78||4.77||2||1.58||1.39|
|Virtus Seix Core Bond Fund||9.63||4.68||3.26||3.85||5.24||2||1.70||1.52|
|Virtus Seix Total Return Bond Fund||10.25||4.57||3.29||4.02||4.97||2||1.63||1.51|
|Virtus Seix High Grade Municipal Bond Fund||5.30||4.35||3.43||4.80||4.93||2||1.09||0.85|
|Virtus Seix Corporate Bond Fund||6.84||4.11||3.64||4.83||5.24||2||2.52||2.38|
|Product Name||Type||1 Yr||3 Yr||5 Yr||10 Yr||Life of fund||Inception Date||30-daySEC Yield||30-day SEC Yield(Unsubsidized)|
|Virtus Newfleet Dynamic Credit ETF||NAV||-5.14||0.30||NA||NA||0.52||2||5.95||3.47|
|Virtus Newfleet Multi-Sector Bond ETF||NAV||-4.07||0.44||NA||NA||2.24||2||5.25||4.51|
|Virtus Seix Senior Loan ETF||NAV||NA||NA||NA||NA||-5.03||2||5.66||NA|
|Product Name||AAA/Aaa||AA/Aa||A/A||BBB/Baa||BB/Ba||B/B||CCC/Caa||Below CCC||Not
|Virtus Seix U.S. Government Securities Ultra-Short Bond Fund||87.97||2.43||0.00||0.00||0.00||0.00||0.00||0.00||0.00||9.60|
|Virtus Seix Ultra-Short Bond Fund||34.28||14.96||26.96||12.23||0.00||0.00||0.00||0.00||0.00||11.56|
|Virtus Seix Floating Rate High Income Fund||0.00||0.00||0.00||1.06||34.72||49.72||6.72||0.35||1.34||6.09|
|Virtus Newfleet Senior Floating Rate Fund||0.00||0.00||0.00||7.81||29.99||40.32||3.05||0.00||2.74||16.10|
|Virtus Newfleet Dynamic Credit ETF||32.69||0.00||0.00||2.59||28.58||22.55||6.85||0.45||0.00||6.29|
|Virtus Seix Short-Term Bond Fund||85.24||1.08||5.62||3.03||0.00||0.00||0.00||0.00||0.00||5.04|
|Virtus Newfleet Low Duration Core Plus Bond Fund||37.33||9.59||21.26||19.21||4.19||0.25||0.06||0.00||3.78||4.33|
|Virtus Newfleet Multi-Sector Short Term Bond Fund||27.71||8.11||17.31||22.98||9.03||5.24||0.49||0.05||5.44||3.64|
|Virtus Seix Short-Term Municipal Bond Fund||27.75||41.91||14.70||2.46||0.00||0.00||0.00||0.00||0.00||13.18|
|Virtus Seix High Yield Fund||0.00||0.00||0.00||8.33||47.33||40.41||2.67||0.07||0.00||1.20|
|Virtus Seix High Income Fund||0.00||0.00||0.00||6.37||37.93||40.93||12.95||0.21||0.00||1.61|
|Virtus Newfleet High Yield Fund||0.00||0.00||1.44||5.89||39.66||32.81||13.51||0.27||1.24||5.18|
|Virtus Seix U.S. Mortgage Fund||95.52||0.00||0.00||0.00||0.00||0.00||0.00||0.00||0.00||4.48|
|Virtus Newfleet Multi-Sector Intermediate Bond Fund||12.82||5.75||7.25||28.08||15.72||14.42||4.26||0.17||5.08||6.44|
|Virtus Newfleet Multi-Sector Bond ETF||19.20||4.66||8.32||27.97||14.42||10.40||4.35||0.26||3.60||6.82|
|Virtus Newfleet Core Plus Bond Fund||38.69||6.10||12.32||25.08||7.12||2.95||0.08||0.00||3.08||4.59|
|Virtus Seix Investment Grade Tax-Exempt Bond Fund||42.23||52.04||2.67||0.00||0.00||0.00||0.00||0.00||1.85||1.21|
|Virtus Newfleet Tax-Exempt Bond Fund||7.08||41.64||31.08||8.64||1.07||0.00||0.00||0.00||5.07||5.41|
|Virtus Seix Core Bond Fund||77.22||3.80||7.76||7.39||0.00||0.00||0.00||0.00||0.00||3.83|
|Virtus Seix Total Return Bond Fund||79.11||3.25||8.08||6.95||0.00||0.00||0.00||0.00||0.00||2.61|
|Virtus Seix High Grade Municipal Bond Fund||46.65||49.99||2.06||0.00||0.00||0.00||0.00||0.00||0.00||1.30|
|Virtus Seix Corporate Bond Fund||1.06||7.25||55.14||35.62||0.00||0.00||0.00||0.00||0.00||0.93|
|Seix Core Bond Wrap||74.45||2.02||11.09||9.37||0.00||0.00||0.00||0.00||0.00||3.08|
|Seix Enhanced Bond Wrap||76.39||1.81||10.70||7.74||0.00||0.00||0.00||0.00||0.00||3.37|
|Seix High Yield Bond Wrap||0.00||0.00||0.00||20.65||51.84||23.39||1.30||0.00||0.00||2.82|
|Seix Intermediate Bond Wrap||80.39||2.79||6.59||8.98||0.00||0.00||0.00||0.00||0.00||1.26|
|Virtus Seix Senior Loan ETF||0.00||0.00||0.00||5.14||43.07||38.27||4.06||0.33||0.00||9.13|
Performance and Yield data represents Class I shares for all mutual funds.
Two managers. One-point access.
Newfleet Asset Management is a long-tenured team of value investors in fixed income. As pioneers in full spectrum multi-sector fixed income investing, Newfleet has steered its flagship portfolio since 1992. That experience is reflected in the firm’s dedicated sector strategies, which include high yield bonds, bank loans, emerging markets debt, and municipal securities. While the multi-sector strategies reflect the team’s best ideas, given the investment guidelines of each portfolio, the individual strategies express each sector strategist’s views in their purest form.
Began managing multi-sector portfolios in 1992
33 investment professionals with 18 years of average experience
$9.0 billion in AUM1
5 Lipper Fund Awards2
Seix Investment Advisors has focused exclusively on managing fixed income assets since 1992. Seix seeks to generate competitive absolute, relative and risk-adjusted returns over the full market cycle through a bottom-up focused, top-down aware process. Seix employs multi-dimensional approaches based on strict portfolio construction methodology, sell disciplines, and trading strategies with prudent risk management as a cornerstone.
Founded in 1992 as an institutional fixed income boutique
42 investment professionals with 25 years of average experience
$16.7 billion in AUM1
7 Lipper Fund Awards2 3
1As of 3/31/20.
2Annual Lipper Fund Awards: The Refinitiv Lipper Fund Awards, granted annually, highlight funds and fund companies that have excelled in delivering consistently strong risk-adjusted performance relative to their peers. The Refinitiv Lipper Fund Awards are based on the Lipper Leader for Consistent Return rating, which is a risk-adjusted performance measure calculated over 36, 60, and 120 months. The fund with the highest Lipper Leader for Consistent Return (Effective Return) value in each eligible classification wins the Refinitiv Lipper Fund Award. For more information, see lipperfundawards.com. Although Refinitiv Lipper makes reasonable efforts to ensure the accuracy and reliability of the data contained herein, the accuracy is not guaranteed by Refinitiv Lipper.Lipper Category Classifications © 2020 Lipper. All rights reserved.
3Refinitiv Lipper Fund Awards 2020 Winner, USA, Virtus Seix Short-Term Municipal Bond Fund, Best Fund Over 10 Years, in the Short Municipal Debt Funds category (27 Short Municipal Debt Funds were eligible for the 10-year period).
Performance data quoted represents past performance. Past performance does not guarantee future results. Investment return and principal value will fluctuate so that shares, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Please visit virtus.com for performance data current to the most recent month end. This share class has no sales charges and is not available to all investors. Other share classes have sales charges.
Newfleet: The ratings issued by Nationally Recognized Statistical Rating Organizations assess the credit worthiness of a corporation’s or government’s debt issues. The ratings apply to the fund’s holdings and not the fund itself. Ratings are provided by Standard & Poor’s, Moody’s, and Fitch. For certain securities that are not rated by any of these three agencies, credit ratings from other agencies may be used. Where the rating agencies rate a security differently, Newfleet uses the higher rating. If a rating is not available, the bond is placed in the Not Rated category. Credit ratings are subject to change. Aaa, Aa, A, and Baa are investment grade ratings; Ba, B, Caa, Ca, C, and D are below-investment grade ratings.
Seix: The ratings issued by Nationally Recognized Statistical Rating Organizations assess the credit worthiness of a corporation’s or government’s debt issues. The ratings apply to the fund’s holdings and not the fund itself. Standard & Poor’s, Moody’s, and Fitch ratings are used. If all three agencies have rated the security, then the median rating based on numerical equivalents is used. If only two agencies have rated the security, then the lower of the two ratings is used. If only one agency has rated the security, the rating from that agency is used. Credit ratings are subject to change. AAA, AA, A, and BBB are investment grade ratings; BB, B, CCC, CC, C, and D are below-investment grade ratings.
Investing involves risk including loss of principle. Some general risks associated with fixed income investing include the following. For more detailed information, please click on the links provided. Credit & Interest: Debt securities are subject to various risks, the most prominent of which are credit and interest rate risk. The issuer of a debt security may fail to make interest and/or principal payments. Values of debt securities may rise or fall in response to changes in interest rates, and this risk may be enhanced with longer-term maturities. High Yield-High Risk Fixed Income Securities: There is a greater level of credit risk and price volatility involved with high yield securities than investment grade securities. Bank Loans: Loans may be unsecured or not fully collateralized, may be subject to restrictions on resale and/or trade infrequently on the secondary market. Loans can carry significant credit and call risk, can be difficult to value, and have longer settlement times than other investments, which can make loans relatively illiquid at times. ABS/MBS: Changes in interest rates can cause both extension and prepayment risks for asset- and mortgage-backed securities. These securities are also subject to risks associated with the repayment of underlying collateral. Foreign & Emerging Markets: Investing internationally, especially in emerging markets, involves additional risks such as currency, political, accounting, economic, and market risk. Market Volatility: Local, regional or global events such as war, acts of terrorism, the spread of infectious illness or other public health issue, recessions, or other events could have a significant impact on the fund and its investments, including hampering the ability of the fund’s portfolio manager(s) to invest the fund’s assets as intended.
Please consider a Fund’s investment objectives, risks, charges, and expenses carefully before investing. For this and other information about any Virtus Fund, contact your financial representative, call 800-243-4361, or visit virtus.com for a prospectus or summary prospectus. Read it carefully before investing.
Not all products or marketing materials are available at all firms.
Not insured by FDIC/NCUSIF or any federal government agency. No bank guarantee. Not a deposit. May lose value.
© 2020 Virtus Investment Partners, Inc.