Investment Offerings

LAM supports a wide range of innovative investment strategies. These strategies span across both private and public markets.

Private Credit

Jefferies Finance

Private credit platform offering investment programs across mid-cap and large cap direct lending, broadly syndicated loans and CLOs.

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Trade Finance

Point Bonita Capital

Private corporate credit strategy deploying capital into short-dated receivables, focusing on the inefficiencies of the bespoke trade finance marketplace.

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Multi-Manager Equity Investing

Schonfeld Strategic Advisors

Market-neutral equity platform focused on fundamental and tactical trading strategies across the U.S., Europe, and Asia.


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Multi-Strategy

Weiss Multi-Strategy

Market-neutral multi-strategy platform that dynamically allocates capital to twenty strategies across equities, credit and macro.

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Pan Asia Multi-Strategy

Dymon Asia

Asia-focused multi-manager platform investing across equities, credit, fixed income/rates, FX, and commodities within the region.

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Equity & Debt Capital Markets

Monashee

Focus on capital markets new issuance across IPOs, follow-ons, convertible bonds, investment grade debt and high yield debt; additionally manage a pre-IPO crossover strategy.

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Energy & Industrials

Kathmandu

Global long/short equity strategy specializing in energy and related cyclical sectors with a focus on industries driven by global supply/demand chains.

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Multi-Manager "First Loss" Model

Topwater Capital

First-loss, multi-manager and multi-strategy liquid securities platform. 

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Commodities

CoreCommodity Management

Active strategies designed to provide enhanced commodity exposure. 

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Asset Backed Securities

3|5|2 Capital

Total return strategy focused on the cash securitized products market through investments in consumer-oriented asset-backed securities. 

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Distressed Credit & Special Situations

FourSixThree Capital

Distressed and special situations long/short credit strategy investing across sectors and asset types.

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TMT Long/Short Equity

JAT Capital Management

Fundamental long/short equity strategy focused on the TMT, Consumer, Travel, Leisure and Gaming sectors globally.

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China Long/Short Equity

Strategic Vision Investment

Hong Kong-based, Greater China-focused long/short equity manager employing a fundamental approach to identifying long-term investments backed by structural mega trends.

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Multi-Strategy Quant

Manteio Capital

Systematic investment manager employing statistical and quantitative methods across asset classes and trading strategies with use of Artificial Intelligence techniques.

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Asset-Based & Opportunistic Credit

Hildene Capital Management

Diversified asset manager specializing in distressed and event-driven opportunities across structured credit, opportunistic credit, and private credit.

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Digital Assets

Tephra Digital

Fundamental, discretionary strategy focused on providing comprehensive exposure to the blockchain and Web3 ecosystem through liquid tokens.

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Fintech Venture Capital

Illuminate Financial Management

Venture capital firm investing in early-stage enterprise technology and B2B Fintech companies.

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European Opportunistic Credit

Pearlstone Alternative

Pan-European fundamental credit strategy focused on idiosyncratic opportunities with high execution complexity. 

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Long/Short Bank Credit

ISO-mts Capital Management

Niche long/short strategy specializing in bank credit-related instruments

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Jefferies Finance

Jefferies Credit Partners ("JCP") is a private credit platform offering investment programs across mid-cap and large-cap direct lending, broadly syndicated loans and CLOs.  JCP is one of the largest players in private equity sponsored financing, and JCP provides the exclusive access to that platform across commingled and bespoke mandates.  

Point Bonita

Point Bonita Capital (“Point Bonita”) is a private corporate credit strategy that deploys capital into isolated short-dated receivables. Through global relationships and the inefficiencies of the bespoke trade finance marketplace, Point Bonita targets investments with <1 year credit duration as it seeks to generate attractive risk-adjusted return.

Schonfeld Strategic Advisors

Schonfeld Strategic Advisors LLC ("Schonfeld") is a Multi-PM platform that invests its capital with portfolio managers across Fundamental Equity, Quantitative, Tactical, and Discretionary Macro & Fixed Income trading strategies.  

Weiss Multi-Strategy

Weiss Multi-Strategy Advisers LLC (“Weiss”) is an adaptive, market-neutral, multi-strategy platform that utilizes a multi-manager investment approach composed of ~20 fundamental, discretionary, heterogenous, absolute return strategies across equities, credit, and macro.

Dymon Asia

The Dymon Asia Multi-Strategy Investment Fund (“Dymon Asia”) seeks to generate consistent, uncorrelated, absolute returns by allocating capital to a diversified group of dedicated PM specialists across Equities, Credit, Fixed Income/Rates, FX, and Commodities.

Monashee

Monashee Investment Management LLC ("Monashee") is focused on capital markets new issuance across IPOs, Follow-Ons, Convertible Bonds, Investment Grade Debt and High Yield Debt. Monashee seeks to capture the structural discount innate to new issue transactions with consistent participation across the global capital markets deal calendar. The team also manages a Pre-IPO Crossover strategy.

Kathmandu

Kathmandu is a global long/short equity strategy that specializes in energy and related cyclical sectors. The team utilizes a top-down and bottom-up analytical approach to create a catalyst-driven investment style aimed to generate alpha across secular, cyclical and idiosyncratic themes.

Topwater Capital

Topwater Capital ("Topwater") manages a multi-strategy, multi-manager fund wrapped in a unique structure commonly referred to as “first loss”, which seeks to mitigate drawdown risk for investors. The strategy is managed by Bryan Borgia and Travis Taylor, who pioneered the first-loss model of fund investments and have been sourcing, structuring, funding and risk monitoring first-loss managed accounts since 2004.

CoreCommodity Management

CoreCommodity Management, LLC (“CoreCommodity”) is an asset management firm whose singular focus is to provide commodity exposure to investors through both long-only and absolute return strategies using commodity futures and natural resource equities.

3|5|2 Capital

3|5|2 Capital ("3|5|2") pursues a total return strategy with the goal of generating attractive risk-adjusted returns in the cash securitized products market. The strategy is focused on investing in a portfolio of consumer-oriented, asset-backed securities (“ABS”) to achieve its long-term return objectives.

FourSixThree Capital

FourSixThree Capital ("FourSixThree") pursues a distressed and special situations long/short credit strategy. The strategy is focused on distressed situations and takes an “all-weather” approach that seeks to leverage the team’s experience identifying opportunities across credit-oriented asset classes.

JAT Capital Management

JAT Capital Management ("JAT Capital") pursues a fundamental long/short equity strategy focused on the TMT, Consumer, Travel, Leisure and Gaming sectors globally. The strategy is focused on generating alpha through the construction and management of a diversified portfolio of individual long and short ideas within its focus areas.

Strategic Vision Investment

Strategic Vision Investment ("SVI") seeks to invest in high-quality companies benefiting from identified structural mega trends that it believes may create significant value over the next 10-20 years (e.g. Energy Revolution, Industry Consolidation, New Materials, Advanced Manufacturing, Healthcare/BioTech, AI Revolution, and Cloud/SaaS).

Manteio Capital

Manteio Capital (“Manteio”) is a systematic investment manager that aims to apply statistical and quantitative techniques to data in order to identify persistent, uncorrelated sources of alpha and deliver a high-quality return and Sharpe profile. Manteio seeks to efficiently apply next generation technologies and Artificial Intelligence techniques, alongside human supervision, as part of its investment strategy.

Hildene Capital Management

Hildene Capital Management ("Hildene") is a diversified asset manager specializing in distressed and event-driven opportunities across structured credit, opportunistic credit, and private credit. The team seeks to leverage its expertise in managing complex assets by evaluating investment opportunities throughout the credit lifecycle.

Tephra Digital

Tephra Digital LLC ("Tephra Digital") is focused on a fundamental and discretionary approach to the digital assets space, pursuing a long-term strategy of investing in high-quality, liquid tokens. Tephra Digital seeks to enable investors to achieve comprehensive exposure to the blockchain and Web3 ecosystem through a thematic and disciplined approach.

Illuminate Financial Management

Illuminate Financial Management (“Illuminate”) is a venture capital firm dedicated to early-stage enterprise technology and B2B fintech companies building technology solutions for the financial services industry. The team invests across multiple Fintech themes and seeks to accelerate the virtuous cycle connecting the startup ecosystem with large financial institutions.

Pearlstone Alternative

Pearlstone Alternative (“Pearlstone”) pursues a fundamental, Pan-European opportunistic credit strategy.  Pearlstone seeks idiosyncratic opportunities with high execution complexity.

ISO-mts Capital Management

ISO-mts Capital Management (“ISO-mts”) is a niche long/short strategy specializing in bank credit-related instruments. ISO-mts is focused on opportunities within this large, liquid market consisting of a wide range of issuers, securities, seniority levels, and structures.
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