The ability to manage assets both within and across markets enhances the ability to manage risk, particularly when markets are volatile. This multi-strategy, more tactical approach leverages the manager’s capabilities and provides a more nimble solution to asset allocation versus conventional, investor-driven, single strategy decisions.
Our firm’s leadership has significant experience identifying value within and across the credit markets. Our team has experience managing multi-strategy portfolios as commingled portfolios and as customized solutions.
Meet Our Team