SIGNAL is a London-based specialist investor dedicated to private, public, and structured European credit. Through disciplined analysis and deep market insight, we uncover value others may overlook, delivering consistent performance and long-term alignment with our investors.
SIGNAL manages three distinct but complementary business lines.
Each product is designed to deliver strong absolute returns through disciplined investing and active portfolio management. Together, they showcase our deep expertise across private, public, and structured European credit, and our commitment to preserving and growing institutional capital.
Signal Alpha
SIGNAL's flagship strategy, investing in European special situations across corporate and real estate credit.
Signal Beacon
Opportunistic credit strategy investing across public European corporate and securitised markets, focused on capturing value from market dislocations on the macro and micro scale.
Signal Harmonic
A leading platform for primary CLO issuance and active credit management. Combining deep market experience, a highly active trading approach, and proprietary portfolio optimisation.
Experience That Defines Execution
SIGNAL is led by a senior team with an extensive working history and a proven track record across private credit, real estate, and structured finance. The firm’s deep structuring and legal expertise underpins its ability to navigate complexity, originate non-sponsored deals, and deliver tailored capital solutions.

Portfolio Updates, Insights and Case Studies
Reading Signals.
Finding Value.




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