Fixed Income

Segall Bryant & Hamill offers a wide range of taxable and tax-exempt fixed income strategies. We have the ability to customize solutions to meet our clients’ specific needs.

Our research analysts focus on specific market sectors, identifying trends and opportunities within their area of expertise. We supplement internal research by meeting directly with company management. Our research analysts work in tandem with our portfolio managers to assure that client portfolios are structured to offer the highest return potential given a client’s risk profile.

  • Short Term Fixed Income

    • Assets: $333.7 million*
      Inception Date: 7/1/02

      The objective of the Short Term Fixed Income strategy is to preserve capital and generate maximum current income by investing in high-quality securities, primarily with final maturities of three years or less.

  • Short Term Plus Fixed Income

    • Assets: $473.2 million*
      Inception Date: 9/1/15

      The Short Term Plus Fixed Income strategy seeks current income by investing in a diversified portfolio of investment grade and high yield securities with a target duration of less than two years.

  • Intermediate Fixed Income

    • Assets: $2,345.0 million*
      Inception Date: 1/1/87

      Diversified portfolio of high-quality securities with typically less than 10-year average maturities benchmarked against the Barclays US Intermediate Government/Credit Index.

  • Municipal Fixed Income

    • Assets: $609.2 million*
      Inception Date: 1/1/03

      Diversified portfolio built with client-specific tax and liquidity requirements. Turnover within accounts is designed to maximize clients’ after-tax cash flows.

  • Core Fixed Income

    • Assets: $2,222.6 million*
      Inception Date: 1/1/87

      Diversified portfolio of high-quality securities benchmarked against the Barclays US Aggregate Index.

  • Core Plus Fixed Income

    • Assets: $1,834.7 million*
      Inception Date: 1/1/1992

      Diversified portfolio of investment grade and high yield securities benchmarked against the Barclays US Aggregate Index.

  • Quality High Yield Fixed Income

    • Assets: $68.0 million*
      Inception Date: 10/1/2000

      Diversified portfolio of high-quality high yield securities benchmarked against the Bloomberg Barclays US Corporate High Yield Ba Index.

  • Long Term Fixed Income

    • Assets: $167.2 million​*
      Inception Date: 1/1/1983

      Diversified portfolio of high-quality securities with longer-term durations benchmarked against the Bloomberg Barclays US Long Government/Credit Index.

  • *As of 9/30/18