Our Strategies

Vibrant Capital manages approximately $2.3 billion in structured credit.

Our strategies include commingled funds and managed accounts designed to capture opportunities across the capital structure with a primary focus on CLO debt and CLO equity.

Our founders have invested in the CLO asset class since 2002. Our Structured Credit team follows a prudent investment approach ensuring margin of safety while actively creating bespoke opportunities and capitalizing on periods of market dislocation.

Structured Credit
Expertise

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Veteran team with almost two decades of experience investing across the CLO capital structure since the market’s inception

Diverse group that has worked together for almost 14 years dedicated to the asset class across multiple credit cycles

Established longstanding relationships and reputation allow us to create unique opportunities

Invest extensively in proprietary systems for CLO portfolio and risk management

Process and normalize data in real time from original sources with stringent quality control

Create institutional memory of market information and deal, collateral, and portfolio-level data

In-depth knowledge of CLO legal documents enables strong structuring capabilities

Proactively lead negotiations to secure favorable terms

Model various market scenarios to assess the impact of deal-specific legal documentation

Deep understanding of fundamental aspects of each underlying position

Synergistic relationship between the Syndicated and Structured Credit groups designed to identify and evaluate tail risk in underlying portfolios

Empowered by technology to analyze each underlying issuer

Veteran team with almost two decades of experience investing across the CLO capital structure since the market’s inception

Diverse group that has worked together for almost 14 years dedicated to the asset class across multiple credit cycles

Established longstanding relationships and reputation allow us to create unique opportunities

Invest extensively in proprietary systems for CLO portfolio and risk management

Process and normalize data in real time from original sources with stringent quality control

Create institutional memory of market information and deal, collateral, and portfolio-level data

In-depth knowledge of CLO legal documents enables strong structuring capabilities

Proactively lead negotiations to secure favorable terms

Model various market scenarios to assess the impact of deal-specific legal documentation

Deep understanding of fundamental aspects of each underlying position

Synergistic relationship between the Syndicated and Structured Credit groups designed to identify and evaluate tail risk in underlying portfolios

Empowered by technology to analyze each underlying issuer