Multi Strategy
Launched in July 2022, the Radcliffe Multi-Strat strategy invests in what we believe to be our best ideas across all areas of our expertise, including short duration, BDC bonds, convertible arbitrage, loans, high yield, SPACs, long/short, stocks and special situations. This strategy seeks high static market returns which we expect to be meaningfully enhanced with tactical rebalancing after periods of market turmoil.
We recommend Multi-Strat for those in need of an actively managed asset allocation targeting mispricing within all layers of the corporate capital structure.
All investments are subject to risks including the possible loss of principal. This description contains opinions and expectations regarding the marketplace and the strategy, as well as descriptions of current and potential investment processes. There is no guarantee that our expectations will be met. Radcliffe may change its investment process without notice at any time.