About Polygon Investment Partners
As a multi-strategy platform, Polygon Investment Partners seeks to build investment vehicles that leverage their specific areas of expertise and track records. They are focused on investing in areas where there is the opportunity for enduring alpha generation, and on working with groups and individuals that have demonstrated their ability over different business cycles. Their strategies do not compete with one another. While all their strategies are targeted, their investment teams collaborate when appropriate, participate in firmwide risk discussions, and share an infrastructure platform. This approach allows each team to focus on its opportunities while having the benefit of other market perspectives. For each strategy, Polygon seeks to ensure compatibility of the underlying assets and strategy terms (e.g. liquidity and capacity) and alignment of their investors' interests with their own. Their approach is to maximize investment returns as opposed to assets under management.