Our credit strategies provide investors an opportunity to invest across liquid and private credit markets, from leveraged loans and bonds to private structured credit investments, along with commercial real estate and specialty lending. We specialize in nuanced market segments where the team’s collective experience navigating market cycles and investing across the capital structure enables us to capture excess returns relative to traditional markets, as a result of illiquidity, complexity, and other market inefficiencies.
While varied in investment objective and risk / return profile, each of our credit and multi-asset strategies adhere to an actively managed research-driven investment philosophy and process that emphasizes income generation and capital preservation throughout market cycles.
We offer flexibility for clients looking to implement solutions within single sectors or across multiple credit sectors with differing risk / return, and liquidity parameters.
As of 9/30/2022