Asset ManagerRIA · CRD 135635SEC-Registered

Updated:

Integrity Fixed Income Management

INTEGRITY FIXED INCOME MANAGEMENT is an SEC-registered investment adviser in ORLANDO, FL, registered since 2007.

Integrity Fixed Income Management

INTEGRITY FIXED INCOME MANAGEMENT is an SEC-registered investment adviser in ORLANDO, FL, registered since 2007. The firm manages approximately $921 million in assets. It has 6 employees and 5 investment advisers.

General information

Firm type

Asset Manager

Year founded

1997

AUM

Undisclosed

Location

Region

North America

Country

United States

City

Denver

Corporate office

Denver, CO, United States

Principals

Robert W. Jones

President and Chief Investment Officer

Sector focus

Fixed IncomePrivate Credit

Frequently asked questions

Who runs investment decisions at Integrity Fixed Income Management?

Robert W. Jones, the founder, serves as President and Chief Investment Officer, leading the investment committee. The firm operates with a centralized decision-making structure characteristic of a focused boutique.

What fixed-income sectors does Integrity target?

Integrity allocates across investment-grade corporates, commercial and residential mortgage-backed securities, asset-backed securities, collateralized loan obligations, and US government and agency debt. The firm emphasizes bottom-up credit research to identify mispriced securities within these sectors.

Does Integrity manage commingled funds or just separate accounts?

Integrity offers both separately managed accounts tailored to specific institutional mandates and commingled investment vehicles. The commingled options provide smaller institutions access to the firm's core and core-plus fixed-income strategies.

What is Integrity's investment philosophy?

The firm combines proprietary, bottom-up credit analysis with top-down sector allocation. It avoids reliance on street research, instead focusing on identifying structural inefficiencies and undervalued cash flows in the US dollar-denominated fixed-income market.

How does Integrity manage risk in its portfolios?

Risk management is integrated into the research process through rigorous security-level analysis, sector concentration limits, and duration management relative to client benchmarks. The firm's narrow focus on fixed income means its entire analytical infrastructure is dedicated to credit and interest-rate risk.

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