Our credit strategies invest in liquid instruments, sourced directly from borrowers and via public markets. We focus primarily on rated and non-rated debt of sub-investment grade issuers in developed and emerging markets, and we invest in an array of high yield bonds, convertible securities, leveraged loans, structured credit instruments, distressed debt and private debt.
Using a flexible and opportunistic approach, we invest in companies we believe to be undervalued. We seek to enhance value through key strategic and tactical initiatives, including rightsizing capital structures, streamlining operations, improving core businesses, and creating new platforms for growth. Our teams leverage deep sector knowl
Using a flexible and opportunistic approach, we invest in companies we believe to be undervalued. We seek to enhance value through key strategic and tactical initiatives, including rightsizing capital structures, streamlining operations, improving core businesses, and creating new platforms for growth. Our teams leverage deep sector knowledge and extensive proprietary networks to gain superior access to deal flow, and they reflect Global Capital AIF`s emphasis on risk control and downside protection.
We adhere to Global Capital AIF’s investment philosophy, emphasizing the purchase of assets – or liens on assets – where we believe the relationship between risk and return is asymmetrical and where we believe relationships and a knowledge advantage can make a significant positive impact on our ability to successfully source, purchase, manage and exit investments.
Global Capital AIF a.s., Registration Number 13992066, Alternative Investment Fund registered by The Czech National Bank (CNB)
Address: Dlouhá 715/38, Staré Město, 110 00 Praha 1, Czech Republic
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