Investment Details
Investor Type
Institutional Investor
Asset Class Focus
Fixed Income (Debt and Bonds)
Stage Focus
Growth, Late Stage, Pre-IPO, Buyout, Turnaround, Distressed
Geographical Focus
United States, United Kingdom, Germany, Hong Kong, Japan, Australia, Europe, Asia, Singapore, France, Italy, Denmark, Switzerland, Spain, Luxembourg, Ireland, Netherlands, Sweden, Belgium, Norway
Industries Focus
- Financial Services
- Capital Solutions
- Private Debt
- Investment Grade Bonds
- Multi-Asset
- Emerging Markets
- Aviation Finance
- Syndicated Loans
- Parallel Lending
- High Yield Bonds
- CLOs
- Short Duration
- Long/Short Credit
- Global Tactical
- European Multi-Strategy
Investor Details Founded: 1988
Muzinich & Co. is a privately owned investment firm specializing in credit-focused solutions for institutional investors. With over 30 years of experience, the firm offers a range of strategies in public and private corporate credit, including investment grade, high yield, emerging markets, multi-asset, absolute return, and syndicated loans. Their private markets platform provides flexible financing solutions to small and medium-sized companies across Europe, Asia, and the United States. Additionally, Muzinich & Co. offers aviation finance, capital solutions, and parallel lending services. The firm is committed to responsible investing, integrating ESG factors into their investment process for over a decade. With 16 offices globally, Muzinich & Co. maintains a strong presence in key financial centers, including New York, London, Frankfurt, Milan, Madrid, Geneva, Zurich, Palm Beach, Singapore, Sydney, Hong Kong, Manchester, and Dublin. Their global reach enables them to stay close to their investments and clients, fostering long-term partnerships and a transparent focus on risk management. Muzinich & Co. is a signatory of the UN’s Principles for Responsible Investment since 2010, reflecting their dedication to sustainable and responsible investment practices. The firm's investment decisions are rooted in bottom-up, fundamental credit research, aiming to deliver superior risk-adjusted returns across various market conditions. Their focus on credit allows them to develop a depth, breadth, and history of credit expertise that is difficult to replicate, aligning them closely with their investors' interests. Muzinich & Co. manages assets across multiple credit cycles, demonstrating their ability to navigate complex market environments and provide financing solutions that support the growth and development of the economic landscape. Their commitment to responsible investing and long-term partnerships underscores their dedication to creating positive change and influence on ESG factors, aiming to make a meaningful impact on the communities they serve.
Requirements
- Institutional investors seeking credit-focused solutions
Contact
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