We are a credit-oriented asset management firm, with a focus on delivering capital preservation and attractive risk-adjusted returns for our clients regardless of market conditions.
We invest in public and private corporate credit instruments across multiple strategies.
We take the same rigorous, value-driven approach to credit investing as with private equity and real estate assets. We seek uncommon opportunities through diverse strategies designed to generate a range of returns, enabling investment offerings to meet each investors return requirements while balancing their risk appetite and need for liquidity.
Our activities range from investing in public debt that offers attractive risk-adjusted returns to providing private capital to companies. This allows us to maximize potential in various market conditions, and in times of both stability and volatility drawing upon a wide range of disciplines, including loans, high yield and investment grade bonds, structured credit, mezzanine lending and rescue financing.