Global Investments
Across Diverse Asset
Classes
The combination of our agile and long-term approach allows us to invest globally in a wide range of strategies and asset classes, including public and private equity and credit, fixed income, foreign exchange, and alternative assets. With the flexibility to be patient and lean into market dislocations, we act decisively when fundamentals align — often stepping in when others cannot.
Equity
Permanent Capital to Invest in Fundamentals
Our equity team combines regional and sector specialists operating across private and public markets. Our permanent capital enables us to make significant investments in high-conviction ideas and utilize volatility to our advantage. It also allows us to pursue long-term investments while fostering deep corporate relationships.

Credit
Agility and Durability That Deliver Results Across Credit Markets
We provide credit solutions across the spectrum, from investment-grade to distressed securities, in both public and private markets. With a hedge fund mindset, we move with speed and scale to capitalize on opportunities. Our permanent capital base enables us to provide flexible private lending, address complex financing needs, and identify mispriced assets in public markets. Our agility and resilience drive superior outcomes for our clients and borrowers across market cycles.

Public Markets
- Distressed/special situations
- Investment grade
- High yield
- Levered loans
- Structured products

Private Markets
- Sponsored corporate finance
- Direct lending across Real Estate, Venture and Growth Lending, Private ABS, Warehouse, NAV loans, Music Royalties/Entertainment Finance, Litigation Finance


Macro
Macro Trends for Maximum Impact
We navigate global markets with a focus on macroeconomic trends and strategic, opportunistic trading with an emphasis on dislocated price action. Our macro strategy focuses on systematic and discretionary opportunities primarily in rates, FX, and equities.

External Manager Allocation
Lasting Partnerships Across Diverse Strategies
The core of our investment philosophy is a collaborative and adaptable approach, anchored in long-term commitment. We establish strong partnerships with external asset managers across private and public markets. Our investment process is guided by a bottom-up framework, focusing on managers with a demonstrated track record of delivering value-added returns. By often co-investing alongside our partners and actively engaging across the capital structure, we foster meaningful relationships that create value for our clients and the asset managers we work with.
Alpha Capture & Risk Overlays
Harnessing Insights to Amplify Performance
Our framework blends discretionary and systematic approaches to maximize internal alpha generation through a center book. This approach is fully transparent to portfolio managers and analysts, fostering a collaborative environment that allows impact to go beyond individual portfolios. Central risk overlays give portfolio managers more freedom while maintaining the firm’s target asset allocation and risk levels.
Careers
Join Our Mission
Join a team where your ideas matter, and your growth is a priority. Explore our career opportunities to find where you fit in.
