About
Founded in 2017, we are a privately held alternative asset management firm led by seasoned professionals, whose collective strength derives from diversity of experience across product types, collaterals, industries, and market cycles.
We invest for the long term but take advantage of short term opportunities.
Strategically we approach this by finding and capitalizing on “market seams”, and due to our absolute return measure vs relative return, our strategy is designed to protect against pivot risks.
Tactically we do this by leveraging our networks developed over many years of successfully sourcing, structuring, investing, and asset managing unique credit oriented opportunities.
Investment Philosophy
Our basic investment thesis is built on a few fundamental beliefs:
- We believe it is hard to overcome paying too much for an asset, so we are laser focused on our attachment point or basis in the asset.
- Be clear on your security and its rights, priority of payment, claims and control (or lack thereof)
- Have multiple exit options / paths or levers to pull in every deal - even in a stressed market