International Capital Markets
Azur’s approach to capital markets investment relies upon an active, unconstrained management style that is targets out performance of industry standard returns on a risk-adjusted approach.
Azur takes a macro view of the global economy, balancing long-term structural trends, with short-term tactical opportunities created by specific economic and/or corporate events.
Azur invests across multiple asset classes and investment geographies. and wraps our investment strategies within a comprehensive risk management framework.
Azur invests in global, liquid, event driven situations with defined short-term catalysts. The team has particular expertise in the mid cap space and invests in equity, debt, and hybrid structures.
Azur combines fundamental investing in research-driven opportunities and undervalued companies with a pro-active approach to trading. Azur's research team generates global long/short strategies, with a typical exit time horizon of 4 - 6 weeks.
Investment Grade & High Yield
Azur focuses on Investment Grade credit on a global basis, and global high yield bonds and leveraged loans on an absolute return basis.
We have one clear aim: to generate consistent, positive, absolute returns that outperform the market.