Leveraging the full depth of our multi-strategy credit expertise.

Launched in 1995, King Street’s Flagship strategy has $9 billion in assets under management as of 7/31/2024 and an extensive history of identifying attractive long and short, event-driven investment opportunities across the capital structure.

Our Flagship strategy seeks to deliver attractive long-term risk-adjusted returns through varied market environments while preserving capital and managing volatility. The Flagship strategy endeavors to be an all-weather, credit-driven alternative to traditional fixed income.

We focus on marrying rigorous fundamental research with tactical trading and exceptional sourcing capabilities to identify and execute on what we believe are compelling investment opportunities. Leveraging our deep expertise in credit, we invest dynamically, up and down the capital structure, across asset classes and geographies in public and private markets. We are fundamental tacticians.

 

*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.

We focus on investments characterized by complexity, mispricing and other forms of event-driven dislocation. By applying our experience across a broad array of sectors, geographies and asset classes in public and private markets, we strive to create high conviction, diversified portfolios.

Quick facts

  • 29

    Year track record

  • $9B

    Assets under management (as of 7/31/2024)

  • 75+

    Investment professionals