INVESTMENT PHILOSOPHY

Our long-biased credit strategy is concentrated on event driven, idiosyncratic stressed and distressed positions with the potential to generate significant risk-adjusted returns through the credit cycle with, we believe, a margin of safety. We perform fundamental analysis on dislocated credits that we perceive may benefit from a catalyst that crystallizes value.

Strategic Value Proposition

We aim to capitalize upon the gap in the credit market between traditional distressed investors and typical long-only high-yield investors and CLO funds. We believe that in this gap there are significant opportunities causing market dislocations and security mispricing. Our objective in this strategy is to capture stressed & distressed pull to par opportunities.

We believe that the experience of our credit team, located in New York and London, combined with quantitative techniques, enables us to successfully make investments across capital structures of varying size and complexity.

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