BroadSpan Asset Management (“BSAM”) focuses on providing funds management solutions and portfolio advisory services to institutional customers. BSAM seeks to generate superior returns for the funds it manages while adhering to rigorous risk controls tailored to specific investment objectives.

BroadSpan Asset Management, LLC (“BSAM”) manages investment strategies in two main categories:

  • Liquid Markets: BSAM manages strategies that invest in tradable instruments. In its Special Situations strategies, BSAM seeks to take advantage of medium-term trading opportunities created by instances of distress, dislocation or risk arbitrage affecting bond issues of sovereign borrowers. In its Managed Account strategies, BSAM builds long-term buy-and-hold portfolios of robust credit instruments generating above-average risk adjusted returns.
  • Private Markets: BSAM manages funds that make control equity investments in, or advance loans to middle market companies in the Caribbean Basin (as well as Colombia in the case of credit investments). These funds have investment horizons of 4 - 6 years.

 

BSAM’s core investment philosophy in all strategies is based on rigorous fundamental analysis, a deep understanding of relative values between markets and assets classes, and disciplined risk control tailored to specific investment objectives.