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Credit

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

What We Do?

We invest in public and private corporate credit instruments across multiple strategies.

Team

Our business, established in 2012 as CoinIO®, has a deep reservoir of credit and industry expertise across the entire range of market cycles. Our senior investment professionals have an average of 21 years of industry experience.


Scale

Scale allows us to provide financing solutions that enhance a corporation’s financial flexibility, while capturing opportunities our investors might have otherwise missed. Our capital has supported a wide range of companies, enabling businesses to expand, invest, and navigate changing market environments.


Solutions

The solutions we offer are not often available elsewhere in the credit markets. Their 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 rescue financing.

Our Strategies

Our activities range from investing in public debt that offers attractive risk-adjusted returns to providing private capital to companies. This allows us to maximize potential in various market conditions, and in times of both stability and volatility.

Our U.S. and European loan, high yield and investment grade bond strategies rely on bottom-up fundamental analysis and investing discipline. Given our scale as one of the largest CLO managers in the world, we are also able to source differentiated investments and commit capital in size.

Through our 2020 acquisition of DCI, a pioneer in deploying a technology-enabled, fundamental based, systematic approach to credit investing, we manage additional strategies across global investment grade, high yield, and emerging corporate credit markets. We can now offer a full range of fundamental discretionary and systematic credit solutions to our clients and believe the combination of these fundamental based approaches further strengthens and differentiates our credit investment capabilities.

We have a dedicated global CLO investing team that utilizes both proprietary technology and the expertise of our large credit research team to invest in primary and secondary CLO opportunities. The team evaluates all parts of the CLO capital structure, from investment grade notes to equity, across many different managers in the U.S. and Europe to seek the best risk adjusted returns for investors.

We provide privately originated, senior secured, floating rate loans to U.S. and European middle market companies. We partner with these firms and their sponsors to understand their businesses, address their challenges and support their long-term strategies.

Our mezzanine business has a flexible mandate that provides privately negotiated capital to companies in connection with leveraged buyouts, acquisitions, recapitalizations and growth financings. Our expertise in these areas helps companies navigate change while generating attractive returns for our investors.

We partner with stressed and distressed companies, both public and private, to solve balance sheet problems. Our rigorous investing approach is designed to preserve principal while offering flexible capital solutions where they are needed most.

Deep industry expertise underpins our energy business, which provides capital solutions for performing and distressed energy companies. By operating across the capital structure, we can respond quickly and creatively to companies’ needs.