Gulf Stream Asset Management

Separate Managed Accounts

Gulf Stream is engaged in the business of managing customized portfolios for select institutional investors. We utilize our historic investment strategy to meet customized liquidity needs and risk profiles of each investor. The benefit for the investor is liquidity certainty, investment transparency, allocation to an important asset class, and a low volatility return profile.

Based on specific risk tolerances, credit selection will focus on US non-investment grade loans and bonds within these strategies:

  • Performing (“par”) loans and bonds
  • Dislocated corporate assets
  • Stressed corporate loans or bonds
© 2013 Gulf Stream Asset Management
NEW YORK: 11:18 PM     LONDON: 04:18 AM     FRANKFURT: 05:18 AM     SINGAPORE: 12:18 PM     TOKYO: 01:18 PM     SYDNEY: 03:18 PM     20 | May 2013