We recognize the trust that our investors place in us and our fiduciary duty to ensure that our practices are ethical, law-abiding, and transparent. This responsibility ultimately lies with the firm’s Management Committee which governs adherence to our procedures, including:

  • Operating robust governance procedures that protect all investors across the capital structure.
  • Conducting extensive due diligence on potential third-party service providers prior to the appointment of a chosen provider.
  • Employing a strict compliance monitoring program and a compensation policy underpinned by a formal, written performance review process.