CarVal Investors manages investments in obligations of leveraged or financially troubled corporations by targeting mispriced or undervalued bonds, bank and corporate debt, trade claims, credit default swaps and debt and equity securities. The Corporate Securities business targets event-driven strategies with the objective of earning superior risk-adjusted returns while at the same time preserving capital through its value investment approach.
Its thorough in-house due diligence processes are complemented and enhanced by a long-standing and extensive network of global contacts. The Corporate Securities team represents six nationalities in five offices worldwide.
Through this international team, CarVal Investors has managed investments of over $64 billion in approximately 2,150 separate investments in 78 jurisdictions during the past 25 years.
CarVal Investors uses its core competencies, skills and methods to identify new asset categories for investment. These opportunities have included debt and equity in power projects, aviation assets, offshore vessels, and oil and gas rights. CarVal Investors is known as a first mover in managing investments in many diverse asset classes, using its proven value investing discipline to chart the course for new opportunities.