Asset Management
Synergy Global Capital ("Synergy") manages funds in two distinct credit based investment strategies for family offices and institutional investors. SGC's investments are aimed at protecting investors' capital, whilst delivering the best possible risk-adjusted returns over the asset life.
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Our Strategies
1. Real Asset Based Credit (RAC)
Synergy's RAC investment strategy is focused primarily on non-US asset financing in the following areas and sectors:
- Corporate restructuring
- Utilities, energy and resources
- Public sector finance
- Project/Infrastructure finance
- Corporate lending and balance sheet optimisation
Synergy's RAC strategy looks for independent asset access and valuations to support the traditional credit analysis and decision making. The RAC fund is currently heavily focused on energy related collateral and Synergy is growing this market segment. Synergy utilises relationships and joint ventures with other specialist asset managers and large industrial companies who are exclusively active in the underlying collateral related industries.
2. Investment Grade Traded Assets (ITA)
Synergy's ITA strategy has grown from the start of 2009 and has delivered superior returns above the comparable risk-adjusted benchmarks. Synergy can provide individual standalone investment pools for larger investors who prefer to avoid co-investor and liquidity risk. The ITA strategy can include systems development, surveillance, as well as transparent credit analysis on a single name basis.
