Andromeda Capital Management is a global investment strategy investing primarily in credit and rates and focusing on alpha catalysts and positive convexity. ACM aims to deliver attractive risk-adjusted returns through global cross-asset investments, with a primary focus on credit and rates; as well as equities, currencies and commodities. The firm’s research-driven approach to investing that combines top-down asset allocation with bottom-up deep dive credit analysis. They capture catalysts that transform countries, change industries and disrupt firms' capital structures.
ABOUT ACM
ACM is a global long-short strategy investing primarily in credit and focusing on alpha generation and positive upside/downside convexity.
ACM's team has over a decade of joint experience in identifying and trading regime-change and navigating major macro and credit inflections.
They invest across the entire capital structure and across countries, with a focus on developed markets, high yield and Europe.
They also include governance analysis and diversity in their investment process as well as how they build their teams.