Marathon Asset Management is a leading hedge fund company that seeks to generate attractive absolute returns through investments in the global credit markets and real estate-related markets. Its core competency is opportunistic investing in the global corporate, emerging market, and structured credit markets based on fundamental, bottom-up research across distinct investment funds, managed vehicles, and separate accounts.
Marathon’s credit platform includes investing in dislocated, mispriced, stressed, and distressed corporate bonds in the United States, Europe, and Asia. It focuses on fundamentally strong companies that may be overleveraged or in need of rescue financing or restructuring.
Marathon’s Leveraged Loan Platform invests in the senior secured loans of companies primarily in the U.S. and Europe. It opportunistically invests in second lien loans and mezzanine debt in both dollar and non-dollar denominated loans.
Marathon’s Emerging Markets Platform seeks to identify and capitalize on opportunistic and situational investments across global Emerging Markets, with a global focus including Latin America, Eastern Europe, Asia, the Middle East, and Africa.
Marathon’s Structured Credit Platform is focused on a wide universe of securitization markets that include complex distressed, downgraded, non-investment grade structured Credit securities harnessing a Credit-intensive and opportunistic approach.
Marathon’s Private Credit Platform seeks to fulfill the need of the investment community in an attempt to deliver a premium return by sourcing and investing in less-liquid and illiquid debt instruments. Marathon’s Private Credit platform may offer the ability to earn incremental yield for less liquid and more complex assets.
The Marathon Real Estate platform encompasses investments across the risk spectrum ranging from senior debt secured by commercial Real Estate through to direct ownership of complex opportunistic Real Estate assets.
Assets under management: $18.5 billion (as of March 2021)