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The Corporate Credit Group seeks to generate superior returns on performing and non-performing corporate credit and credit-related investments while minimizing the risk of principal loss. Our credit selection process is rooted in fundamental credit analysis, emphasizing downside protection and relative value. The Group often invests in event-driven, total return situations which may include balance sheet restructurings, deleveraging or liquidity enhancing catalysts such as IPOs or asset sales, and refinancings. Portfolio managers and industry coverage teams maintain a deep understanding of key industry trends and valuations, relevant value chains and barriers to entry, and the ability of a company to perform equal to or better than its industry peers.
We manage approximately $12 billion in corporate credit and credit-related investments for a range of corporate, institutional, and private clients. Our corporate credit investments focus on the following asset types and strategies:
- Leveraged Loans
- High Yield Bonds
- Convertible Bonds
- Asset-Based Loans
- Mezzanine Securities
- Preferred Securities
- Reorganized Equities
- Direct Investments
- Long Short Credit Strategies
Structured Credit | Solution Capital
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