Identifying relative value is the cornerstone of our philosophy and process.
We seek to achieve consistent excess returns through active sector rotation combined with disciplined risk management. We manage close to $10.3 billion* in mutual funds, actively managed ETFs, securitized products, and institutional accounts.
As an indication of our success, Virtus was named “Best Taxable Bond Fund Family” by Barron’s for 2012 and 2010, and second in the group in 2016**.
*As of 6/30/19.