Marathon Asset Management is a New York-based global investment manager with investment offices in London and Singapore. The firm’s investment management team focuses on opportunistic and situational credit investing in corporate debt including high yield, bank debt and distressed debt, emerging market debt, special situations, structured credit, and real estate debt.Marathon seeks opportunities in corporate entities confronted with bankruptcy, default, restructuring, re-capitalization, liquidity shortfalls, breach of covenants, or other adverse business conditions. This includes companies in financial stress, including sovereign and quasi-sovereign debt; structured products including RMBS, CMBS, CDOs, CLOs, and ABS and asset-based lending and leasing; real estate debt, and banks asset sales.
Hybrid
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Emerging Markets
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