We focus on opportunities spanning asset classes, sectors and geographies where we believe we have an edge through our research-intensive approach, combined with extensive trading and sourcing capabilities.
Our goal is to generate returns by identifying dislocations and deftly executing with conviction while remaining flexible enough to dynamically rotate capital in our portfolios.
We conduct bottom-up research with a conservative valuation methodology and rigorous downside analysis.
*King Street’s investment strategies are subject to substantial risks and uncertainties, as further described in Item 8 of the King Street Capital Management, L.P. Form ADV Part 2 Brochure.