Our investment strategy focuses on identifying mispriced credit opportunities caused by financial distress, operational challenges, or market dislocations. We invest with conviction across a broad spectrum of instruments:
Core Strategy Components
01.
Distressed Debt
Investing in debt of companies experiencing financial stress, trading significantly below intrinsic value.
02.
Restructuring & Turnaround
Providing capital and strategic support to facilitate restructurings and value recovery.
03.
Secondary Market Credit
Opportunistic acquisition of stressed and distressed credit in the secondary markets from banks and other lenders.
04.
DIP & Debtor-Support Financing
Financing solutions during bankruptcy or reorganization processes.
05.
Capital Structure Solutions
Flexible deployments across secured, unsecured, and hybrid instruments.