KKR은 크레딧 투자에 대한 깊은 통찰력과 우리가 가진 자원을 활용하여 경쟁 우위를 확보하고, 장기적인 관점에서 자본 가치와 위험조정수익의 창출을 추구합니다.
크레딧 투자에 대한 KKR의 접근법
One firm approach
We leverage the broader firm and proprietary resources, taking a highly integrated approach to drive sourcing and execution
Ability to invest across the capital structure and liquidity spectrum
Flexible and diverse investment strategies allow us to pivot as the market shifts and meet the varying needs of companies and our investors, generating differentiated solutions across KKR’s portfolios
Deep fundamental underwriting philosophy
We utilize proprietary sourcing, capital preservation and active portfolio management to seek out long-term capital appreciation and attractive risk-adjusted returns
Differentiated value creation and risk management tools
Deep diligence and ongoing re-evaluation of our portfolio and risk measures to construct a downside protected, balanced portfolio
Trusted partnership philosophy
Our sourcing efforts are strengthened by our long-standing relationships with a wide network of issuers, our position as a valued client to investment banks with a network of PE sponsors, banks and trading desks, and the KKR network. We leverage all of these elements where necessary to be a valuable partner to our clients.