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Gramercy Profile
Gramercy has a global investment perspective derived through experience
Partners on the investment team have been active investors in emerging markets for nearly 25 years on average.
Global market participants through many credit cycles, developing deep emerging markets and global credit expertise.
Embedded local market networks created from the Firm’s extensive transaction history in EM.
Firm has grown through a deliberate expansion of emerging markets investment team and strategy.
Our Firm is dedicated to investing in emerging markets
We offer a complete suite of emerging markets investment strategies that include both long-only and hedged vehicles.
We offer sovereign and corporate debt (EMD) in US dollars and local currencies, distressed debt, distressed special situations, macro and equity investments.
Our robust platform and investment expertise enable us to provide customized emerging markets solutions for clients.
Our dedicated emerging markets products span the style and liquidity spectrum typically found in the developed markets.
Our thesis minimizes the systemic risk embedded in emerging markets
Our alternatives vehicles include dynamically managed hedges which create non-directional, non-beta dependent alpha.
Our long only investment processes have track records of generating superior risk adjusted excess returns versus their respective indices.
Gramercy is managed as a traditional investment management firm
We provide a high level of transparency to investors.
Founded in 1998, Registered Investment Advisor with the SEC since 2000.
We implement industry-leading risk management and control mechanisms such as independent quarterly asset verification and manager-level SAS 70 compliance.
Nearly $3 billion in assets under management.
Team of 62 professionals headquartered in Greenwich, Connecticut, with offices in London, Eastern Europe and Latin America.
Independent employee-owned firm.
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