Monarch Alternative Capital LP is an opportunistic credit manager with offices in New York and London, specializing in investing across various sectors such as corporate, real estate, structured credit, government debt, and special situations. With over 31 years of experience and $12.7 billion in assets under management, they have a disciplined and repeatable investing strategy, actively seeking differentiated opportunities worldwide to achieve attractive risk-adjusted returns.
Driven by a culture of partnership and transparency, Monarch emphasizes beneficial relationships with their global and diverse investors, companies, operating partners, and advisors. Their active approach, specialized sourcing, and structuring expertise set them apart, enabling value creation and distinguishing their investment strategy. With a strong team of investment professionals and a global investing philosophy, Monarch is equipped to navigate economic cycles and meet the needs of their various partners.
Generated from the website