Investment Details
Investor Type
Private Equity
Asset Class Focus
Distressed and Special Situations, Real Estate, Structured Credit, Corporate Debt, Government Debt
Stage Focus
Distressed, Special Situations, Opportunistic Credit, Real Estate
Geographical Focus
United States, United Kingdom, Canada, Germany, Japan, Australia, France, Italy, Denmark, Switzerland, Spain, Luxembourg, South Korea, Ireland, Austria, Netherlands, Sweden, Belgium, Norway, Finland
Industries Focus
- Healthcare
- Energy
- Real Estate
- Infrastructure
- Telecommunications
- Retail
- Industrial
- Hospitality
- Office
- Residential
- Mixed-Use
- Structured Credit
- Corporate Debt
- Government Debt
- Special Situations
Investment Size:
100,000,000 to 5,000,000,000 USD
Investor Details Founded: 2002
Monarch Alternative Capital is a global private equity firm specializing in distressed and special situation investments across various industries. Founded in 2002, the firm has over 30 years of experience in opportunistic credit and real estate investments. With offices in New York and London, Monarch has invested over $71 billion, focusing on complex and illiquid opportunities to achieve attractive risk-adjusted returns. The firm's disciplined approach and dynamic sourcing have led to a diverse portfolio, including investments in corporate debt, real estate, structured credit, and government debt. Monarch's culture emphasizes partnership and transparency, fostering strong relationships with investors, companies, operating partners, and advisors. The firm has a team of 105 employees globally, with 39 investment professionals, and has raised over $4.7 billion for its sixth closed-end fund, Monarch Capital Partners VI, which focuses on distressed and special situation investments. Monarch's recent activities include the formation of a platform to invest in marinas and RV resorts across the United States, as well as the acquisition of a premier office campus in Phoenix, Arizona. The firm's expertise spans various asset classes, including real estate, structured credit, corporate debt, and government debt, enabling it to capitalize on opportunities across multiple verticals. Monarch's investment strategy is characterized by a disciplined, consistent, and repeatable process, allowing it to identify differentiated opportunities globally and pursue attractive risk-adjusted returns. The firm's culture of partnership and transparency, driven by the collaborative spirit of its employees, accentuates beneficial relationships with its global and diverse investors, companies, operating partners, and advisors.
Requirements
- Focus on distressed and special situation investments
- Interest in complex and illiquid opportunities
- Preference for investments across various industries including corporate debt, real estate, structured credit, and government debt
- Emphasis on achieving attractive risk-adjusted returns
- Commitment to a disciplined and repeatable investment process
- Desire for partnership and transparency in investor relationships
- Willingness to engage in opportunistic credit and real estate investments
- Interest in global investment opportunities
- Alignment with Monarch's culture of collaboration and transparency
- Openness to investments in diverse asset classes and market segments
Contact
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Portfolio Companies
- Go Outdoors
- The Esplanade
- Hotel 48LEX
- Renaissance Las Vegas
- Westin Tampa
- North Loop Office Portfolio
- Riverplace
- One MarketPointe
- The Island Pigeon Forge
- Margaritaville Hotels
- Safe Harbor Development
- Tourmaline Capital Partners
- Crestlight Capital
- Swervo Development Corporation
- Amazon
- DoorDash
- Intel
- Lyft
- Turo
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