Bracebridge is a leading alternative asset manager founded in 1994 that pursues an absolute return strategy. We seek relative value opportunities across global fixed income markets.
Our investment approach is grounded in detailed research, disciplined portfolio construction, and prudent risk management.
DEDICATION TO ABSOLUTE RETURN
We believe markets are not always efficient. Through thoughtful trade construction and deep fixed income expertise, we aim to capture alpha and deliver truly diversified returns without significant correlation to equity, debt, and foreign exchange markets.
Flexible Approach to Capital Allocation:
Our strategy is flexible and nimble, employing a relative value approach to opportunities in developed market rates, corporate credit, emerging markets, and structured products.
Disciplined Risk Management
Robust risk management is central to our process. We assess risk from both bottom-up and top-down perspectives, combining human judgment with analytical insight to make well-informed, deliberate decisions.
Learn About Our Team