Performance
We target uncorrelated absolute returns.
Our performance is driven by in-depth, research-based credit selection. Our fundamental expertise provides conviction longs and shorts expressed though the most optimal risk adjusted products, pay-out profiles and strategies.
Strategy
Our agility enables us to pivot quickly.
We overlay our fundamental research with trading technicals and market analysis to optimise risk adjusted returns across market cycles.
Opportunity
Longstanding relationships with banks and corporates.
Acer Tree has broad access to public and private markets enabling us to translate our relationships into the widest possible investment universe for our investors.
Clients First
Alignment & Capital Preservation.
We invest alongside our clients. Our investors are at the forefront of every decision. Capital preservation is a continued focus.
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Acer Tree In Numbers
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Total Assets Under Management
USD $670 Million
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Credit Strategies
2
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Years of Average Credit Investment and Research Experience
20+
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Sector Specific Research Analysts
6
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Portfolio Managers
3
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Team
12
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London Office
1