Asset ManagerRIA · CRD 108271SEC-RegisteredPrivate Fund Adviser

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SIT Fixed Income Advisors II, LLC

SIT Fixed Income Advisors II, LLC is an SEC-registered investment adviser in Minneapolis, MN, registered since 1998. The firm manages $15.0 billion in assets,...

SIT Fixed Income Advisors II, LLC

SIT Fixed Income Advisors II, LLC is an SEC-registered investment adviser in Minneapolis, MN, registered since 1998. The firm manages $15.0 billion in assets, with $14.8 billion managed on a discretionary basis. It has 73 employees and 35 investment advisers.

General information

Firm type

Asset Manager

Sector focus

Private CreditFixed Income

Frequently asked questions

How is SIT Fixed Income Advisors II, LLC related to SIT Investment Associates?

SIT Fixed Income Advisors II, LLC is a legal entity within the SIT Investment Associates group, which oversees multiple investment advisory firms. The broader organization manages over $70 billion in assets across equities and fixed income. The fixed-income entity operates with its own investment mandate and regulatory registration.

What types of fixed-income strategies does the firm offer?

The firm provides investment-grade credit, high-yield, municipal, and structured product strategies. These are delivered primarily through separately managed accounts for institutional clients and through commingled fund vehicles. The focus is on U.S. fixed-income markets.

Who are the target clients for SIT Fixed Income Advisors II, LLC?

The firm targets institutional investors, including pension funds, endowments, foundations, and insurance companies. It does not appear to serve retail investors directly.

Is the firm's AUM publicly disclosed separately from the broader SIT group?

No, SIT Fixed Income Advisors II, LLC does not disclose a stand-alone AUM figure. The parent firm, SIT Investment Associates, reported $73.4 billion in total client assets as of March 2023.

Does the firm disclose its portfolio holdings?

Specific portfolio holdings for SIT Fixed Income Advisors II, LLC are not publicly reported on a granular basis. Institutional clients receive detailed portfolio reporting through their separately managed accounts.

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