Profiel
Mr. Eric M.
Hess, CFA, is a Senior Managing Director, Portfolio Manager & High Yield Sector Co-Head at Virtus Fixed Income Advisers LLC.
He is also responsible for credit research of the energy sector.
Prior Mr. Hess was on the fixed income team at Goodwin Capital Advisers.
He joined Goodwin Capital’s corporate credit research group in 2010.
Previous to joining Goodwin, he was a Credit Analyst for The Travelers Companies.
He began his career in the investment industry in 2006.
Mr. Hess earned a B.B.A. in finance from the University of Notre Dame, and he is a CFA (Chartered Financial Analyst) charterholder.
Actieve functies van Eric Hess
| Bedrijven | Functie | Begin |
|---|---|---|
Virtus Fixed Income Advisers LLC
Virtus Fixed Income Advisers LLC Investment ManagersFinance VFIA is an active bond manager who believes that the market offers potential opportunities for returns to investors who understand and correctly value Fixed Income securities. The firm focuses their management efforts on the bottom-up principle of security selection along with top-down strategies for sector allocation and yield curve structure using rigorous fundamental research as well as a series of proprietary and third-party tools to identify value. Their diversified portfolios of well-researched companies, value-added security structures and sector rotation seek to provide attractive spreads above the benchmark, regardless of the level or direction of interest rates, at controlled risk levels. | Portfolio Manager-Fixed Income | 01-07-2022 |
Eerdere bekende functies van Eric Hess
| Bedrijven | Functie | Einde |
|---|---|---|
Newfleet Asset Management LLC
Newfleet Asset Management LLC Investment ManagersFinance Newfleet Asset Management is a long-term, fixed income specialist who employs a multi-sector approach to investing. They build their portfolios through rigorous core credit analysis and active portfolio management. The firm utilizes both top-down sector analysis and allocation and bottom-up security selection. They seek broad diversification across industries and issuers in an attempt to limit downside risk. Newfleet Asset Management offers a suite of multi-sector strategies that vary by investment objective, exposure to below investment grade and non-US securities, and duration. The strategies are managed by a single team and share a consistent philosophy and a process that is actively managed, relative value driven, research intensive, and opportunistic. A focus beyond core sectors seeks to add value. | Analist-Vaste Inkomen | 01-07-2022 |
Goodwin Capital Advisers, Inc.
Goodwin Capital Advisers, Inc. Investment ManagersFinance Goodwin offers a range of actively managed multi-sector strategies. Their strategy employs active sector rotation, strong security selection and disciplined risk management, which provides the most effective means to achieve excess returns in the fixed income market. The firm seeks the best opportunities to maximize total return while avoiding interest-rate forecasting. They use a relative value approach to the fixed income market which stresses active sector rotation, and if allowed in client guidelines, could include below investment grade debt and emerging markets. Portfolio construction is a combination of top-down sector allocation and bottom-up issue selection, both of which are based on relative valuation. | Corporate Officer/Principal | 31-05-2011 |
| THE TRAVELERS COMPANIES, INC. | Corporate Officer/Principal | 31-07-2010 |
Opleiding van Eric Hess
Ervaring
Beklede functies
Actief
Inactief
Beursgenoteerde bedrijven
Bedrijven in privébezit
Connecties
Eerstegraads connecties
Bedrijven verbonden in de eerste graad
Man
Vrouw
Besturend
Uitvoerend
Verwante bedrijven
| Bedrijven in privébezit | 5 |
|---|---|
The Travelers Cos., Inc.
The Travelers Cos., Inc. Property/Casualty InsuranceFinance Operates as an holding company whose subsidiaries provides commercial, personal, bond and specialty insurance services | Finance |
Newfleet Asset Management LLC
Newfleet Asset Management LLC Investment ManagersFinance Newfleet Asset Management is a long-term, fixed income specialist who employs a multi-sector approach to investing. They build their portfolios through rigorous core credit analysis and active portfolio management. The firm utilizes both top-down sector analysis and allocation and bottom-up security selection. They seek broad diversification across industries and issuers in an attempt to limit downside risk. Newfleet Asset Management offers a suite of multi-sector strategies that vary by investment objective, exposure to below investment grade and non-US securities, and duration. The strategies are managed by a single team and share a consistent philosophy and a process that is actively managed, relative value driven, research intensive, and opportunistic. A focus beyond core sectors seeks to add value. | Finance |
University of Notre Dame
University of Notre Dame Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Virtus Fixed Income Advisers LLC
Virtus Fixed Income Advisers LLC Investment ManagersFinance VFIA is an active bond manager who believes that the market offers potential opportunities for returns to investors who understand and correctly value Fixed Income securities. The firm focuses their management efforts on the bottom-up principle of security selection along with top-down strategies for sector allocation and yield curve structure using rigorous fundamental research as well as a series of proprietary and third-party tools to identify value. Their diversified portfolios of well-researched companies, value-added security structures and sector rotation seek to provide attractive spreads above the benchmark, regardless of the level or direction of interest rates, at controlled risk levels. | Finance |
Goodwin Capital Advisers, Inc.
Goodwin Capital Advisers, Inc. Investment ManagersFinance Goodwin offers a range of actively managed multi-sector strategies. Their strategy employs active sector rotation, strong security selection and disciplined risk management, which provides the most effective means to achieve excess returns in the fixed income market. The firm seeks the best opportunities to maximize total return while avoiding interest-rate forecasting. They use a relative value approach to the fixed income market which stresses active sector rotation, and if allowed in client guidelines, could include below investment grade debt and emerging markets. Portfolio construction is a combination of top-down sector allocation and bottom-up issue selection, both of which are based on relative valuation. | Finance |
















