Distressed debt investing has been a core Angelo Gordon investment strategy since the firm’s inception.

The strategy is executed by highly experienced distressed investing teams in the U.S and Europe who seek to deploy capital in all market environments by accessing and exploiting opportunities characterized by price and knowledge inefficiencies.  Our approach is a highly active one in that we invest in the securities of companies faced with liquidity, maturity or bankruptcy risk and use our process, trading, legal and credit expertise to navigate situational complexity.  In all cases, this approach is underpinned by deep fundamental analysis and a focus on downside protection, consistent with Angelo Gordon’s investment principles.