Credit Market Opportunities
Since the Firm’s inception in 2002 (and before that, building and running Goldman Sachs' Special Situations Investing Business), we have been students of credit markets, assessing risk-adjusted and relative value returns in new issue and secondary credit assets across bank loans, investment grade bonds, convertibles and other instruments.
Today, our Credit Market Opportunities strategy identifies traded situations where we believe credit risk has been mispriced by public and private markets. Our experienced investment team and trusted trading relationships enable us to look broadly across global public and private credit markets and react quickly, thoughtfully and commercially in response to dislocations.
We believe that our focus on traded, marked-to-market credit injects public market awareness into all of our public and private Silver Point strategies, enhanced by our deep markets knowledge, trading relationships and risk management discipline.