NAC markets and manages various types of funds with investment strategies focused on its target markets in the high yield credit space. Depending on the type of strategy and prevailing market conditions, portfolio construction and trading strategies are defined to optimize return and to manage risk.
NAC has unique access to investment opportunities in all segments of its market using its strong sourcing capabilities and active trading platform. All investment and trading decisions are based on its investment philosophy and rigorous analytics and research. If appropriate, NAC may use leverage to enhance the returns of a particular strategy.