Multi Strategy. Global Focus.

Capital Markets

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.

Event Driven

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.

Investment Objective

We have one clear aim: to generate consistent, positive, absolute returns that outperform the market.

Azur Pacific Capital Advisors Pty Ltd (ABN 40165910636) is authorised and regulated by the Australian Securities and Investments Commission (ASIC) with Financial Services Licence No. 447578 (AFSL).

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