Sentences with phrase «debt investments across»

Since joining Blackstone, Mr. Eglit has been involved in sourcing, underwriting, negotiating and structuring debt investments across all asset types and geographies.
Before joining Blackstone, Mr. Nagelberg was a Principal at TPG and was responsible for originating, acquiring, and structuring real estate debt investments across various property types in the United States.
Extending equity and debt investments across the world reduces the CPP Fund's dependence on returns in any one country or region and hence reduces risk.
Before founding K2, he was with American Capital Ltd., a publicly - traded buyout and mezzanine fund (NASDAQ: ACAS), where he created the American Capital Energy Group, building a peak portfolio of nearly a billion dollars of market value of energy - related equity and debt investments across oil and gas production, oilfield services, utility services and alternative energy.

Not exact matches

«Most central banks across emerging markets have completed rate cutting cycles,» said Jim Barrineau, co-head of emerging markets debt at Schroders Investment Management.
The two - day AIM Summit titled The Shifting Paradigm of Alternative Investments, will see expert speakers discussing risk and return across the private debt space, look into the regulatory aspects, host interactive sessions on the impact of US and European leveraged lending guidelines, among other current market trends.
Our team of credit professionals deliver sales and trading capabilities across a wide range of fixed income asset classes including high yield, distressed and investment grade bonds, convertible bonds, public and private corporate securities, leveraged loans and emerging market debt.
Our Global Market Strategies segment, established in 1999 with our first high yield fund, advises a group of 46 active funds that pursue investment opportunities across various types of credit, equities and alternative instruments, including bank loans, high yield debt, structured credit products, distressed debt, corporate mezzanine, energy mezzanine opportunities and long / short high - grade and high - yield credit instruments, emerging markets equities, and (with regards to certain macroeconomic strategies) currencies, commodities and interest rate products and their derivatives.
He began his investment career at Equitable Capital Management Corporation where he successfully invested across a broad range of private debt and equity securities, specializing in media.
Prior to joining Cerberus, Mr. Johnston was a Managing Director at White Oak Global Advisors, LLC from 2011 to 2017 where he was responsible for sourcing, underwriting and managing new investment opportunities across sectors for White Oak's private debt funds.
Alantra is a global investment banking and asset management firm focusing on the mid-market with offices across Europe, the US, Asia and Latin America Its Investment Banking division employs over 260 professionals, providing independent advice on M&A, debt advisory, financial restructuring, credit portfolio and capital markets transactions The Asset Management division comprises a team of 78 professionals with $ 3.7 bn in Private Equity, Active Funds, Debt and Rinvestment banking and asset management firm focusing on the mid-market with offices across Europe, the US, Asia and Latin America Its Investment Banking division employs over 260 professionals, providing independent advice on M&A, debt advisory, financial restructuring, credit portfolio and capital markets transactions The Asset Management division comprises a team of 78 professionals with $ 3.7 bn in Private Equity, Active Funds, Debt and RInvestment Banking division employs over 260 professionals, providing independent advice on M&A, debt advisory, financial restructuring, credit portfolio and capital markets transactions The Asset Management division comprises a team of 78 professionals with $ 3.7 bn in Private Equity, Active Funds, Debt and Real Esdebt advisory, financial restructuring, credit portfolio and capital markets transactions The Asset Management division comprises a team of 78 professionals with $ 3.7 bn in Private Equity, Active Funds, Debt and Real EsDebt and Real Estate
KKR Real Estate is a global provider of equity and debt capital across real estate investment strategies.
Liam is our Head of Emerging Markets Debt, overseeing a global team of EMD portfolio managers and holding ultimate responsibility for the commercial growth of the EMD business and delivering strong investment performance across our wide range of products.
The investment is the 13th for Gulf Capital's Private Debt funds and the fifth investment for its Gulf Credit Opportunities Fund II, with nearly 50 % of the fund invested across defensive sectors across the Middle East and Africa region.
Leveraging our leading institutional distribution platform, our goal is to provide our clients with solutions across all banking products, including initial public offerings, follow - on offerings, wall - crossed offerings, bought deals, private placements, ATMs, convertible offerings, leveraged loans, investment grade and high - yield debt offerings and all forms of advisory services.
With nearly 25 years in investment banking, Adam has successfully led the execution of middle - market M&A, restructuring, and debt and equity financing transactions across a myriad of industry sectors including business services, consumer products, retail, general industrials, telecommunications, and technology.
The credit segment invests in non-control corporate and structured debt instruments, including performing, stressed and distressed investments across the capital structure.
This positioned us as the world's second largest investor in real estate * with investments spread across direct and indirect equity and debt in Europe, the U.S. and the Asia Pacific region.
By spreading your investments across as many businesses as possible on the Loan Market, throughout a range of Credit Bands, you'll reduce the impact of bad debt if a business can't repay its loan.
Alignvest Private Capital (APC) seeks to invest in opportunities that have attractive risk - adjusted returns across private investments including equity, debt, and structured equity transactions.
The Company is a fund manager across six core investment themes, such as external debt, local currency, special situations, equity, corporate high yield and multi-strategy.»
Our Asset Based Lending Group provides debt capital solutions of $ 10 million or more to our commercial, corporate and investment banking clients through customized funding solutions across the credit spectrum.
Jakarta's 38.9 % increase was driven by a substantial recovery in domestic demand in the wake of Indonesian sovereign debt's return to investment - grade status, which energized leveraged investment initiatives and drove up demand for prime office space across the capital.
About 3i Group 3i is a leading international investment manager focused on mid-market private equity, infrastructure and debt management across Europe, Asia and North America.
To further examine these disparities, this study will shed light on the role of credit constraints in school investments and the role district debt may play in school resource provision and student achievement across varied geographic areas and diverse student populations.
Schroders Short Term Municipal Bond investment strategy seeks to maximize after - tax yield and income by investing across the spectrum of investment grade municipal debt.
Looking both within and outside of the benchmark, the Fund seeks relative value opportunities across traditional investment - grade and high - yield bond sectors, also including nontraditional asset classes like non-U.S. sovereign and corporate debt, convertibles, and floating - rate loans.
These funds invest across a diverse range of fixed income sectors, including high yield securities, U.S. Government and investment - grade securities, emerging market securities and foreign developed market debt.
The Investment division comprises portfolio management, research and dealing functions across Equities, Fixed Income, Multi-asset and Emerging Market Debt, Commodities and Real Estate.
NexPoint Real Estate Strategies Fund seeks long - term total return, with an emphasis on current income, by primarily investing in a broad range of real estate - related debt, equity and preferred equity investments across multiple real estate sectors.
The strategy seeks to generate return by investing across the full maturity spectrum of investment grade US fixed income securities, including US Treasury, agency, securitized and corporate debt.
Being old fashioned, I gravitate to basics such as: — pay down all debt as quickly as is reasonably possible — broadly diversify across at least 5 asset classes — keep expenses low — its OK to have an advisor for their expertise in security selection but never give an advisor control over how your money is invested i.e. style, strategy, asset allocation — if you want to take a flyer on a hunch (and we all do at some point) take the funds out of your core investment account and create a «satelite» account
The investment objective is to provide reasonable returns and high level of liquidity by investing in debt and money market instruments of different maturities so as to spread risk across different kinds of issuers in the debt markets.
Investment Objective: To generate income by investing in debt / and money market securities across the yield curve and credit spectrum.
The investment objective of the Scheme is to provide reasonable returns and high level of liquidity by investing in debt instruments such as bonds, debentures and Government securities; and money market instruments such as treasury bills, commercial papers, certificates of deposit, including repos in permitted securities of different maturities, so as to spread the risk across different kinds of issuers in the debt markets.
Investment Objective: To provide reasonable returns and high level of liquidity by investing in debt and money market instruments, of different maturities so as to spread the risk across different kinds of issuers in the debt markets.
Investment Objective: To provide reasonable returns and high level of liquidity by investing in debt and money market instruments of different maturities, so as to spread the risk across different kinds of issuers in the debt market.
Investment Objective: To create a portfolio of debt and money market instruments of different maturities so as to spread the risk across a wide maturity horizon & different kinds of issuers in the debt markets.
A broad ensemble of global income investments, the Fund seeks value opportunities across both traditional investment - grade and high - yield bond sectors and nontraditional asset classes, including convertibles, preferred stocks, non-U.S. sovereign and corporate debt and floating - rate loans.
The firm invests across the real estate capital structure and focuses primarily on originating, acquiring, financing, and managing commercial mortgage loans and other commercial real estate debt investments in both the U.S. and Europe.
This new loan brings the total amount Hermes Investment Management has invested in the UK real estate senior debt market to # 360 million across 14 loans.
She has particular expertise in the creation and fundraising of private equity funds — LBO, mezzanine, venture capital, secondary, distressed, infrastructure and real estate — and debt investment funds in France, Luxemburg and across Europe.
Formerly legal counsel at InterContinental Hotels Group, Ellen's practice focuses on the hospitality industry as well as institutional debt and equity investment across all commercial real estate asset classes.
Previously a partner in the investment funds group at Ashurst, Jeremy's practice includes advising on the structuring and formation of private investment funds across the alternative asset classes (private equity / venture capital, debt, real estate and infrastructure).
Lorraine focuses on leveraged finance, advising the world's leading commercial / retail banks, investment banks, debt funds and private equity sponsors on a broad range of domestic and cross-border financings across the credit spectrum.
The firm advises across the board on all matters pertaining to local and international laws and is highly recognized for its expertise in Islamic finance, corporate finance, debt capital markets, real estate and hospitality, equity capital markets, construction, infrastructure projects, energy, international arbitration and dispute resolution, and investment funds.
Our investment and our return are spread across a portfolio of claims, giving firms accelerated financing, delivering faster service to clients and avoiding any burden of debt.
Advised a syndicate of banks, led by HSH Nordbank, on the restructuring and buy - back of the combined $ 120m senior and junior debt made available to US listed shipowner, Dryships Inc; advised Santander and HSBC on the # 36.2 m term and revolving facilities provided to Southern Communications Group; acted for the Republic of Kazakhstan in a BIT and ECT arbitration brought against it by a Turkish investor, which arose out of a dispute involving alleged oil transportation and transhipment investments in Kazakhstan; closely involved with the development of WeatherXchange, the world's first weather derivatives platform; leading advice to Nokia on various employment issues arising from the company's acquisition of Alcatel - Lucent across over 100 jurisdictions.
It gives you a wide range of investment options across equity and debt funds as per your risk appetite.
Dan E. Gorczycki serves as managing director of Savills LLC, a real estate investment banking firm that specializes in debt and equity placement, note sales, investment sales, cross-border investment, advisory and asset management services across all property types.
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