$8Bn
Assets Under Management
4
Distinct Strategies
One Centralized Office
25+
Years Senior Team Average Investing Experience
MidOcean Credit Partners manages $8 billion of alternative credit assets across a broad array of credit instruments in differentiated strategies that seek to generate attractive risk adjusted returns for its clients.
Investment Strategies
We leverage deep and specialized credit expertise by investing across capital structures to provide innovative investment products and solutions which best match our clients’ risk/return objectives. We manage various strategies across the credit markets including leveraged loans, high yield bonds and structured products.
Opportunistic Credit
- Flexible investment approach targeting performing, stressed and event-driven opportunities within credit markets, primarily leveraged loans and high yield bonds
- Capture above market carry with significant total return potential
- Specialize in identifying value within less trafficked situations
- Employ long/short framework to reduce volatility and prevent principal losses
Absolute Return Credit
- Liquid, long/short approach that seeks a rate/duration/spread neutralized portfolio profile
- Targets low duration income and relative value opportunities in high yield
- Non-directional approach in high quality, liquid, performing credit
- Absolute return fixed income alternative
Structured Credit
- Established manager of broadly-syndicated CLOs (Collateralized Loan Obligations)
- Active investor in structured securities of third party managed CLOs
- Integrated investment approach leveraging our activities in loan markets with extensive knowledge of CLO and related structures
Tactical Credit
- Longer term draw-down fund structure
- Capitalizes on complex, higher-returning investment opportunities
Credit Team
President
Chief Investment Officer
Head of Opportunistic Credit
Managing Director
Head of Absolute Return Credit
Managing Director
Head of Structured Credit
Managing Director
Awards & Recognition



