Virtus Global Multi-Sector Income Fund (NYSE: VGI) is a closed-end management investment company sponsored by Virtus Investment Partners. Established to provide a high level of current income, the fund pursues its investment objective through a multi-sector global fixed-income strategy. It allocates across a broad range of debt instruments, including high-yield corporate bonds, investment-grade debt, floating-rate loans, mortgage-backed securities, emerging market debt, and convertible securities. By blending these sectors, the fund seeks to capture attractive yield opportunities while managing risk through portfolio diversification.
The fund’s investment approach is centered on active sector rotation and security selection, leveraging the expertise of Virtus’s dedicated fixed-income research team. Portfolio managers conduct in-depth credit analysis, interest rate forecasting, and duration management to balance income generation with capital preservation. The strategy also employs limited leverage to enhance yield potential, subject to overseen risk controls and covenants. As markets evolve, the fund may opportunistically adjust its exposure to municipal securities, global sovereign debt, or structured products, depending on relative valuations and credit outlooks.
Since its inception, Virtus Global Multi-Sector Income Fund has served a diverse investor base seeking regular distributions and total return potential in a low-yield environment. The fund invests across developed and emerging markets, providing access to global credit markets that may be difficult for individual investors to replicate. With coverage spanning North America, Europe, Asia, and Latin America, the portfolio benefits from regional yield differentials and currency diversification, while maintaining a credit quality profile aligned with the fund’s risk objectives.
The fund’s leadership includes a team of seasoned fixed-income professionals, drawing on decades of experience in credit research, portfolio construction, and risk management. Backed by Virtus Investment Partners’ platform, the team employs robust governance, compliance, and operational support to uphold best practices. Regular commentary, performance updates, and prospectus disclosures keep investors informed about the fund’s positioning, market outlook, and distribution policy, reinforcing its commitment to transparency and disciplined income investing.
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