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Marathon is a global credit manager with approximately $10.5 billion of capital under management, including commitments, investing opportunistically in credit and fixed income markets. We conduct our business guided by our fiduciary responsibility to investors, an intensive research-based approach, risk management discipline and a commitment to operational excellence.

    Capabilities

Marathon possesses a mosaic of skills essential to providing differentiated investment management services, including fundamental, technical and situational expertise. These elements include:

  • Integrated investment teams comprised of experienced portfolio managers, credit analysts, restructuring and legal professionals, with strong asset management capabilities
  • Technical and sector-specific credit research acumen based on bottom-up, in-depth fundamental research
  • Expertise analyzing all layers of the capital structure
  • Work-out and restructuring experience to assess recovery value
  • Deep understanding of credit agreements, indentures, legal documents and inter-creditor arrangements
  • Vast network of relationships with market participants including investment banks, restructuring and legal advisors, lenders, corporate leaders and regulatory bodies
  • Keen focus on asset management and exit strategies to optimize outcomes
  • Risk management team and strong infrastructure essential to successful investment management
  • Best-in-class technology to support fund and separate account platform