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We offer an innovative approach to maximizing value from distressed assets. Our strategy is to analyze, acquire and manage fixed income portfolios in the ABS, RMBS and CMBS markets for funds, investors and partners.

We optimize information and relationship synergies through a unique set of financial partners, and we analyze the underlying collateral of every asset through rigorous investment guidelines and loan level granularity.

We use third-party data and analytical models, like Intex and Bloomberg, to augment our own proprietary systems in the acquisition of mortgage products, including whole loans and REO properties.

We maximize effectiveness at each phase of the investment process — from deal sourcing to on-line investor reporting.