We are one of the world’s largest credit-oriented asset managers, with a focus on capital preservation and delivering attractive risk-adjusted returns for our clients regardless of market conditions.

We invest across the entire corporate credit market, from public loans and bonds to large-scale, private debt financings.


Our business has a deep reservoir of credit and industry expertise. With an average of 21 years of industry experience, our investment professionals have operated through multiple industry cycles and have developed a long-term view of the market.


We believe that the scale of our platform offers a competitive advantage in sourcing proprietary investment opportunities and allows us to achieve favorable terms on our investments. We have become a long-term partner to companies and sponsors around the world with flexible solutions to help them grow and thrive in today’s market.


The solutions we offer are not often available elsewhere in the credit markets. Our breadth is our competitive advantage – drawing upon a wide range of disciplines, including loans, high yield and investment grade bonds, structured credit, mezzanine lending and opportunistic / stressed financing.

Our Strategies

Our activities span both the liquid and private credit spectrum and range from investing in public securities to providing highly customized and structured credit investments. This allows us to maximize potential in various market conditions and deliver attractive risk-adjusted returns to our investors.

Loans, High Yield and Investment Grade Bonds