KKR Asset Management
KKR Asset Management LLC (KAM) offers a broad range of investment products and invests across the corporate equity and credit spectrum, including (i) leveraged credit strategies, such as leveraged loans and high yield bonds, (ii) liquid long/short equity strategies, and (iii) alternative credit strategies such as mezzanine investments, special situations investments and direct senior lending. We manage a specialty finance company (KKR Financial Holdings LLC), a number of investment funds, structured finance vehicles, and separately managed accounts. We focus on leveraging the intellectual capital and origination capabilities of KKR's entire network, where appropriate, and capturing emerging investment opportunities where KKR can add substantive value. As a firm, we are very well-positioned to invest across all parts of a company's capital structure. Given the set of current and expected global opportunities, we are focused on creating solutions for global businesses and generating good returns for our clients.
Prisma Capital Partners LP
Prisma Capital Partners LP (Prisma) offers moderate and low-volatility commingled and separate account portfolios of hedge funds, diversified by strategy, style, and/or geography, to meet a range of risk and return objectives. Through advanced portfolio construction techniques and an integrated, quantitative approach to risk management, Prisma seeks to deliver superior performance to the global institutional investor community. Correlation among managers on our platform is typically very low and our portfolios are well diversified with different sources of alpha. We feel that our specialist approach enables us to find best in breed hedge funds in each strategy. Prisma also believes that hedge fund managers tend to deliver greater performance at the early stages of their fund-cycle.
Prisma’s team offers senior level expertise across multiple disciplines such as portfolio management, risk, and operations/infrastructure. The professionals directly involved with investment decisions have, on average, 25 years experience in related capacities, longevity in their work history and well-regarded educational backgrounds. All of our portfolio managers are sector specialists, not generalists, enabling them to find best in breed managers. We believe that having portfolio managers who have strong trading and asset management experience in specific strategies has led to continued outperformance across sectors and subsectors.
KFN
KKR Financial Holdings LLC (NYSE: KFN) is a publicly traded specialty finance company. It seeks to leverage the proprietary resources of its manager, KKR Financial Advisors LLC, a wholly-owned subsidiary of KKR Asset Management, to generate both current income and capital appreciation. The company’s majority-owned subsidiaries finance and invest in financial assets, including below-investment-grade corporate debt, marketable equity securities, and private equity.
