Credit Funds

Specialized credit investment strategies focusing on corporate debt, structured credit, and alternative lending opportunities.

Our credit funds provide diversified exposure to fixed income markets with active management and risk-adjusted returns.

Investment Strategies

Our credit funds employ diverse strategies to capture opportunities across the credit spectrum.

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Corporate Credit

Investment-grade and high-yield corporate bonds with focus on credit analysis and risk management.

Risk Level:Medium
Target Return:6-10%
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Structured Credit

Asset-backed securities, CLOs, and other structured products with enhanced yield potential.

Risk Level:Medium-High
Target Return:8-12%
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Alternative Lending

Direct lending to middle-market companies, real estate, and specialty finance opportunities.

Risk Level:High
Target Return:10-15%
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Distressed Credit

Opportunistic investments in distressed debt and special situations with turnaround potential.

Risk Level:High
Target Return:12-20%

Fund Investment Options

Choose from our range of credit funds designed for different risk profiles and investment objectives.

Investment Grade Credit Fund

Focus on investment-grade corporate bonds with emphasis on credit quality and income generation.

Min Investment

$100K

Target Return

6-8%

Duration

3-5 years

High Yield Credit Fund

High-yield corporate bonds and leveraged loans with higher risk-reward profile.

Min Investment

$75K

Target Return

8-12%

Duration

2-4 years

Alternative Credit Fund

Diversified alternative credit strategies including direct lending and structured products.

Min Investment

$250K

Target Return

10-15%

Duration

4-7 years

Distressed Credit Fund

Specialized fund focusing on distressed debt and special situation investments.

Min Investment

$500K

Target Return

15-25%

Duration

5-8 years

Why Choose Our Credit Funds?

Our credit funds offer institutional-quality management with a focus on risk-adjusted returns.

Key Advantages

  • Diversified credit exposure across multiple sectors and geographies
  • Active credit research and risk management
  • Flexible investment strategies adapting to market conditions
  • Experienced credit team with deep market knowledge
  • Regular income distributions and capital appreciation potential

Risk Management

1

Credit Analysis

Comprehensive fundamental analysis of credit quality and issuer strength

2

Portfolio Diversification

Spread risk across sectors, geographies, and credit qualities

3

Active Management

Dynamic portfolio adjustments based on market conditions

Fund Performance

Our credit funds have consistently delivered strong risk-adjusted returns across market cycles.

9.2%

Average Annual Return

$1.2B

Assets Under Management

1.8

Sharpe Ratio

8

Years of Experience

Ready to Invest in Credit?

Contact our credit team to learn more about current fund opportunities and investment strategies.