Investment Overview
Strategy Description
Founded in 2020, Livello Capital employs an opportunistic credit strategy to pursue uncorrelated event driven investments across stressed, distressed and deep value credit. The Fund focuses on catalyst driven events and special situations where structural complexity, sourcing and execution create barriers to entry. Livello utilizes a thematic, markets-driven approach to opportunistically deploy capital across sectors, regions, and capital structures, often involved in complex restructurings. Livello targets fulcrum securities and dislocated or mispriced secured debt which it believes will be refinanced or restructured into equity. The Fund will invest primarily in bank loans, non-investment grade corporate credit, trade claims, and rescue finance/direct loans. Livello leverages decades of credit investing and restructuring experience to seek equity-like returns with lower volatility and credit protection.