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Credit Funds

Our alpha-driven market strategies cover the entire fixed income spectrum. Each investment team employs a highly intensive investment selection process that favors relative value and focuses on finding the most attractive risk-adjusted opportunities across the capital structure.

We believe the true test of an investment manager's skill is the ability to consistently manage through a variety of conditions. To this end, leading each of our market strategies is a management team with extensive experience and a track record spanning multiple market and credit cycles.

Opportunistic Credit

Napier Park's Opportunistic Credit Strategy combines the extensive experience of the senior investment team with the firm's broad product platform, and seeks to capitalize on investment opportunities across the fixed income spectrum. Opportunistic Credit Strategy gives investors access to Napier Park investment ideas from select Napier Park Market Strategies, and offers greater diversification and potentially lower volatility compared with single-strategy funds. The CIO employs a tactical rebalancing among the select investment strategies, drawing on over 25 years of experience in fixed income, derivatives and risk management.

Corporate Credit

The Corporate Credit Strategies team seeks to monetize market dislocations in complex, credit intensive opportunities through deep fundamental analysis. The investment team consists of experienced US credit analysts and portfolio managers, who focus on identifying risk mispricing in high-yield credit across the product spectrum (bonds, loans, derivatives and structured credit). Our centralized research team and portfolio management team employ a fundamental, bottom-up approach and leverage a robust technology platform for complex credit that provide data and analytics across the wide range of asset classes to ensure that each investment is directed to the most attractive instrument.

European Credit

The European Credit Strategies team invests primarily in leveraged loans and high-yield credit of European companies that offer attractive fundamental or catalyst-driven credit characteristics relative to market valuation. The investment team consists of experienced European credit analysts and portfolio managers, who employ a fundamental research-driven process and expertise in structured credit markets to identify attractive investment opportunities across many events and cycles. The European Credit Strategies team has been recognized as best-in-class by several industry groups and publications.

Mortgage and Asset-backed

The Mortgage and Asset-backed Strategies team seeks to capitalize on investment opportunities in residential and commercial mortgage-backed securities as well as various ABS sectors. The investment team leverages its extensive experience in structured credit and detailed proprietary analytics to identify macro market trends and drive intensive bottom-up investment analysis. Extensive experience in the structured products market and best-in-class proprietary analytical and technology systems are differentiating factors of the Mortgage and Asset-backed Strategies team.


The Municipal Investment Strategies team seeks to deliver attractive risk-adjusted returns by focusing on opportunities across the credit spectrum where credit market structural characteristics as catalysts for value and return. The Municipal Investment Strategies team has extensive experience in the highly technical and relationship-driven US municipal bond market.