Is the traditional definition of distressed and stressed investing no longer appropriate for today’s market? Does the definition and role of distressed players change with the ebbs and flows of the wider market and is this strategy more flexible and adaptable than it prima facie seems? Where are the real opportunities to add value and generate opportunity and how does Europe compare with the US in this segment of the market?
Featuring:
- Tavneet Bakshi, Partner, Signal Capital Partners
- Christopher Boehringer, Managing Director and Head of Europe, Global Opportunities, Oaktree Capital Management
- Stuart Mathieson, Managing Director, Barings
- Amyn Pesnani, Head of Triton Debt Opportunities, Triton Partners