About Monarch Alternative Capital
Monarch's investment objective is to seek superior risk-adjusted rates of return through investment in a diversified portfolio comprised primarily of bank loans, public and private corporate bonds, trade claims, equity securities received in connection with debt restructurings and certain types of special situation investments, while maintaining a bias to opportunities in the upper part of the capital structure. The core strategy of the firm is to invest in what it believes are "good" companies with "bad" capital structures. Additionally, Monarch employs an "event-driven" strategy focusing on situations where there is a discount to fundamental value that the team believes can be realized through the completion of a debt restructuring process or other realization event.