Our credit strategies invest in both liquid and illiquid instruments, sourced directly from borrowers and via public markets. We focus primarily on rated and non-rated debt of sub-investment grade issuers in developed and emerging markets, and we invest in an array of high yield bonds, convertible securities, leveraged loans, structured credit instruments, distressed debt and private debt.


Credit offers a varied investment objective and risk-return profile, Spartan Ives Wealth’s credit strategies is mostly reliant and based on our unifying investment philosophy, that also focuses it’s primary emphasis on risk management and consistency


Distress Debt

Our distressed debt strategy is spearheaded by Ellis Capital and through it we have expanded our geographic footprint and reach . By targeting public credit privately sourced investments. We seek to protect against loss by buying claims on assets at bargain prices, and we aim to achieve substantial gains by actively participating in restructurings to restore companies to financial viability

Secured Debt

We seek to achieve high returns whilst preserving our principal capital and avoiding defaults by being directly involved and benefitting from our emphasis on fundamental, bottom-up credit analysis .


Our Yields bond team seek to achieve superior risk-adjusted returns by investing in performing bonds of creditworthy multinational corporations.

Business Credit

We focus on investment opportunities in private debt issued by companies that have little or no access to traditional sources of financing. The strategies seek to achieve attractive, risk-adjusted absolute returns by originating or participating in the syndication of performing debt.

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