The fund is an alternative investment vehicle with a focus on emerging market opportunities. It leverages the principals’ long experience across the capital structure to identify and structure trades in higher yielding debt instruments, loans & claims,distressed investments and opportunistic equity risk.The strategy is tactically unconstrained, with low correlation to conventional markets, adding an extra layer of diversification to client portfolios that have a moderate to high risk tolerance.
The fund's objective is to deliver superior, risk-adjusted returns by investing in a range of asset classes which have different return profiles. These include: ...
The fund's objective is to deliver superior absolute returns by investing in a range of asset classes which have different investment characteristics. These include:
• EM sovereign and corporate credit opportunities
• Stressed & distressed bonds, claims and non-performing loans
• Structured high yield receivables and trade finance deal transactions
• Private side club deal opportunities generated in-house, including co-investments
Please contact us for more information