Mudrick Capital Management, L.P. is an SEC-registered investment management firm specializing in stressed and distressed credit investing in the U.S. and European credit markets. Founded in 2009 by Jason Mudrick, the firm aims to provide equity-like returns with credit-like risk and volatility in an uncorrelated fashion. The firm focuses on opportunities across the corporate capital structure to find investments with attractive risk-reward ratios. Mudrick manages approximately $3.1 billion on behalf of a diverse group of sophisticated global institutional investors. Their investment strategy revolves around identifying undervalued opportunities in the stressed and distressed credit space. They are willing to invest across the capital structure and actively engage with companies, including taking board seats and participating in creditor committees, to maximize value. This hands-on approach allows them to influence restructuring outcomes and generate attractive returns. The firm's team comprises seasoned research professionals with over 180 years of combined investing experience. They leverage their expertise to conduct in-depth analysis of potential investments and make informed decisions. The team's extensive experience serving on boards of directors and creditors' committees further enhances their ability to navigate complex situations and drive successful outcomes for their investors. Ultimately, Mudrick Capital seeks to deliver superior risk-adjusted returns by capitalizing on inefficiencies in the stressed and distressed credit markets. Their experienced team, deep research capabilities, and active engagement approach position them to generate attractive returns for their institutional investors.
Bevorzugte Reifephase für die erste Finanzierung.
Stressed and distressed credit
Thematische Schwerpunkte und Zielmarktsegmente von Interesse.
Standard-Finanzierungsbetrag pro Runde.
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