AMC Credit Opportunities
Credit Strategy
Atlas’s credit strategy seeks to earn attractive risk-adjusted returns throughout the credit cycle investing across industries in three primary areas:
Stressed, distressed and bankrupt companies, in which company-specific factors and/or broader market dislocation have created a mispricing of assets.
Performing instruments of sub-investment grade entities that we believe are undervalued.
Event-driven investments including capital structure arbitrage, alpha shorts, post-reorganization equity, and other credit-related investment opportunities.
The strategy invests long and short across capital structures to optimize returns, focusing on opportunities in large cap and middle market companies in North America and Europe.
Investment Approach
Our credit strategy’s dedicated team employs multiple channels to source new investment ideas and conducts intensive due diligence to vet each opportunity. We continually monitor portfolio investments, updating our investment theses and price targets to reflect changing markets and company-specific developments. When appropriate, we seek to work actively and constructively with management teams, fellow stakeholders and co-investors to enhance our ultimate returns.
Competitive Strengths
We believe that the extensive experience of our senior executives investing across economic cycles, geographies, industries and capital structures enhances our perspective and differentiates our proven credit strategy. We also believe that combining our team’s expertise and relationships in credit with AMC’s recognized leadership in financial services can provide significant competitive advantages in the sourcing, diligence, financing and execution of attractive credit investments.