Opportunity is Found

When you know where
to look

Monarch Alternative Capital is an opportunistic credit manager

with offices in New York and London. We are investors seeking attractive opportunities across multiple verticals including corporate, real estate, structured credit, government debt, and special situations.

32yrs

of Experience

$14.6bn

of AUM

$64+bn

Invested

100

Employees
Globally

17yr

Partner Tenure

37

Investment
Professionals

Our Approach

Since 2002, Monarch has invested over $64 billion, utilizing a disciplined, consistent, and repeatable investing strategy. We find differentiated opportunities around the world to pursue attractive risk-adjusted returns through a combination of our disciplined approach and dynamic sourcing.

Our Culture

Our culture of partnership and transparency, driven by the collaborative spirit of our employees, accentuates beneficial relationships with our global and diverse investors, companies, operating partners, and advisors.

Differentiated

Our active approach, specialized sourcing, and structuring expertise drive value creation and distinguish our investment strategy.

About Us

Experienced

Our expertise stems from our team’s longstanding history in investing in the opportunistic credit asset class, and our commitment to maintaining a strong team of individuals across all parts of our business.

Team

Opportunistic

We have developed our global investing philosophy to serve as an “all-weather” tool kit, designed to create opportunity across economic cycles.

Our Approach

Partnership

Our origins as global investors with over 30 years of experience investing has enabled us to meet our various partners’ needs through our core strategies.

Opportunistic Credit & Distressed Debt Real Estate