Vicenda Australia

Asset Management Solutions

Investing in Private Debt

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Description

Our asset management solutions provide investors easy and diversified access to the private debt market. We are well positioned to capture the higher return potential of this asset class. The higher return potential is driven by structural supply and demand imbalances as well as complexity and illiquidity premia that are not accessible through traditional markets. Our solutions therefore enable investors who can accept a certain degree of illiquidity to further diversify their portfolios, obtain a higher return potential and achieve a risk profile that differs from the majority of traditional investments (risks are more deal-specific than market-related).

Advantages

  • Superior risk/reward opportunities due to market imbalances
  • Access to illiquidity and complexity premia
  • Easy and diversified access to an asset class experiencing structural growth
  • Profound expertise and knowledge of all the investment professionals involved
  • Quantitative and qualitative credit screening
  • Use of state-of-the-art technologies (validated risk models and machine learning)
  • Strong risk management and portfolio management expertise
  • Strict governance rules – avoidance of conflicts of interest

Learn more about our solutions