Creative Capital Solutions Across the Spectrum of European Credit.

SIGNAL is an established asset manager with 3 distinct lines of business, all benefiting from natural synergies and the cross-pollination of the best ideas across teams.

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Three Distinct Paths to Investment Excellence

SIGNAL's flagship strategy, investing in European special situations across corporate and real estate credit.

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Opportunistic credit strategy investing across public European corporate and securitised markets, focused on capturing value from market dislocations on the macro and micro scale.

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A leading platform for primary CLO issuance and active credit management. Combining deep market experience, a highly active trading approach, and proprietary portfolio optimisation.

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Simplifying the Complex in European Special Situations

The Alpha strategy takes an opportunistic approach across European credit, targeting areas of capital dislocation in the mid-market, where pricing power is strongest. It is capital structure agnostic, pursuing private bilateral investments backed by hard assets and tailored protections. Managed by a seasoned team with diverse expertise, Alpha consistently seeks differentiated risk-adjusted returns through constructive, well-structured investments.

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Capturing Dislocation Driven Alpha in European Public Credit Markets

The Beacon Hedge Fund employs a differentiated approach to public credit investing, seeking enhanced alpha across corporate and structured credit markets in Europe. Recognised for exceptional performance, the strategy capitalises on both micro and macro dislocations in key markets, while remaining capacity-controlled to preserve investment flexibility and maintain high conviction.

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Institutional CLO Management Built on Experience and Precision

SIGNAL Harmonic provides institutional CLO management with a focus on capital preservation and superior risk-adjusted returns. Leveraging one of Europe’s most experienced teams, the strategy combines deep single-name credit analysis, a through-the-cycle investment horizon, and active portfolio management enhanced by proprietary quantitative optimisation tools. The team’s top-down risk positioning and credit views are reflected in portfolios that are dynamically assessed for relative value, enabling responsive adjustments to market conditions.

SIGNAL Harmonic has a proven record of strong performance even in weak markets and offers investors professional portfolio management services across leveraged finance portfolios.

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Reading Signals.
Finding Value.

About SIGNAL
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