Given the current nature of capital markets, Broad Peak Finance has developed a number of strategies that allow its clients to invest in Public Sector credit products while eliminating risks such as interest rates and refinancing. Such risks have been at the centre of the global credit crisis. The cheapening of asset prices enables us to develop these conservative high credit quality transactions and still create significant returns for our clients.
All investment products are based around accrual income derived from the underlying Public Sector debt. No reliance is put on trading gains and as a debt style product, expected returns for the life of the investment can be predicted at inception.
In the event of capital markets returning to normal operations, Broad Peak Finance envisions an expansion of its investment products to include more traditional fund structures based around high quality Public Sector debt assets.
For more details on all investment products please contact us directly.