Marathon Asset Management is a leading global asset manager specializing in the public and private credit markets. Founded in 1998, the firm is well-positioned across public and private credit to capitalize on changing market dynamics. The firm's investment programs are built on a unique origination platform, rigorous fundamental research, and robust risk management to create attractive and resilient portfolios on behalf of their clients. Marathon's integrated global credit platform is driven by their specialized, experienced and disciplined investment teams across Private Credit (Direct Lending, Asset-Based Lending, Opportunistic Credit) and Public Credit (High Yield, Leveraged Loans & CLOs, Emerging Markets, and Structured Credit).
ABOUT MARATHON ASSET MANAGEMENT
Marathon Asset Management is a New York-based global investment advisor with $23 billion of assets under management.
The firm works with a range of institutional clients, such as pension funds, endowments, and family offices, as well as individual investors.
The firm also has offices in London, Miami, Los Angeles, and Luxembourg.
INVESTMENT STRATEGIES
Direct Lending.
Marathon's Direct Lending program works collaboratively with companies and private equity sponsors to provide creative and reliable financing solutions.
Asset-Based Lending.
The program is composed of specialized teams with deep industry expertise and established relationships built over decades to provide innovative solutions.
Opportunistic Credit.
The firm's proactive sourcing approach, fundamental corporate analysis, and bespoke structuring to solve complex transactions.
Consumer Credit.
Marathon provides lending facilities for a wide range of consumer finance companies investing over $1.5 billion in consumer credit.
Leveraged Loans & CLOs.
Their team utilizes a rigorous, measured, and tactical approach utilizing a bottom-up credit selection process within the senior-secured loan universe.
Their renowned global credit platform delivers unique advantages in credit selection, portfolio optimization, and execution.
Marathon seeks to maximize risk-adjusted returns through deep fundamental research at the sector and issuer levels.