Lawson Capital constructs anti-fragile portfolios designed to Compound Wealth across disparate economic regimes.
We manage over $45 Billion across High Yield Bonds, Senior Loans, Convertibles, and Real Estate debt. Rather than operating in silos, our portfolio managers collaborate fluidly to identify the best relative value across the entire capital structure.
We construct portfolios with a 'yield-to-worst' mentality. By accepting illiquidity premiums in private markets and focusing on senior secured assets, we insulate our limited partners from public market volatility.