A differentiated approach to public alternative strategies, designed to hedge risk, generate uncorrelated returns and complement traditional asset classes.
Specialized expertise and strategies in absolute return credit, merger arbitrage and specialty equity – each designed to exploit inefficiencies in public markets.
Experienced fundamentals-driven, opportunistic approach guided by deep research to capitalize on market mispricing.
Outcome-focused portfolio construction aimed at generating returns, hedging risk and managing volatility to complement traditional equity and fixed income exposures.
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