Our investment strategies were developed to capture opportunities specific to Asian markets.
We take a bottom-up, credit-centric approach with a focus on capital protection throughout the market cycle, first and foremost.
All of our decisions are informed by our understanding of the interdependencies among countries across the region and the complexities that drive Asian markets.
The best way to control risk is to understand it.
Because of our strong local networks we have developed expertise across the entire credit spectrum in both liquid and non-liquid investments, we have a broad perspective from which to identify risks.