We are a pan-European asset manager and investor. Thanks to our specialist experience and expertise, we are able to balance risk and return over the long term in four key areas.
Private Debt: We’re a leading European pioneer in alternative financing. Our private debt teams are able to structure, finance and participate in financing deals with a focus on SMEs.
Real Assets: We invest primarily in European commercial real estate with a focus on non-core products aiming to achieve higher return through active asset management. We are able to acquire large portfolios with multiple assets and can provide liquidity to corporates through sale & lease back transactions. In addition, our strategy focuses on creating and improving infrastructure across core sectors in the US.
Private Equity: We target private companies with high growth potential and help them pursue their ambition. By providing patient capital and operational support to the companies we invest in, we make a transformative impact and create value.
Capital Markets Strategies: We operate a conviction-based strategy rather than merely trying to ‘beat the benchmark.’ The management of our bond and diversified funds are based on the work of our award-winning in-house research team and a fundamental macro and bottom-up approach.
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Credit Research Internship 2025