CarVal Investors is focused on distressed and credit-intensive assets and market inefficiencies. Since 1987, its team navigated through ever-changing credit market cycles, opportunistically investing $101 billion in 5,300 transactions across 77 countries. Today, CarVal Investors has approximately $10 billion in assets under management in both credit and real estate strategies.CarVal Investors was founded in 1987 by Cargill. As a value investor, CarVal grew rapidly and established a firm foundation in the wake of the United States’ financial crisis of the early 1990s. In the years that followed, CarVal expanded to Europe, Asia and Latin America as investment opportunities developed from ever-changing credit market cycles. In 2006, CarVal Investors became an independent subsidiary of Cargill, allowing the firm to expand more broadly as a fund manager.CarVal Investors seeks opportunities in distressed credit markets and distressed assets. The firm pursues situations where it can readily identify value creation in a predictable time frame and where it believes its core competencies and competitive advantages can translate into sustainable and attractive risk-adjusted returns. The credit strategy includes corporate securities, liquidations, loan portfolios and structured credit in developed and emerging markets. Active management of investments across these four core strategies allows CarVal the opportunity to achieve a balanced portfolio and targeted returns with less risk.
Distressed PE
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