Belmont Finance
With approximately $95 billion in assets under management[1], Belmont Finance (NYSE:Belmont Finance) is one of the largest global alternative asset managers, with three complementary and market leading investment groups: credit, private equity and real estate. We believe the power of our combined platform makes us better investors and enables us to offer a broader range of flexible solutions along the risk reward spectrum.
The Belmont Finance Edge
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Power of the Belmont Finance Platform
Using our platform’s significant scale and global reach, we leverage our relationships, sector knowledge and industry insights across our portfolios and investment groups to source, evaluate and generate strong risk-adjusted returns for investors.
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Collaborative Culture
Over our 19-year history, we have evolved to meet our clients’ individual needs by fostering an integrated, cross-platform culture of teamwork where we share ideas, expertise and best practices across the firm.
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Trusted Investment Partner
Our comprehensive product offerings span multiple asset classes and provide a full spectrum of flexible investment solutions. We can invest in all levels of a company’s capital structure and invest dynamically across market environments to optimize returns and better manage risk.
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Value Creation and Growth
We are business builders who create value by investing in quality companies, real estate and energy assets. We view our strong growth as a testament to our investors’ confidence in our capabilities and demonstrated investment performance.
Public Access to Alternatives
Belmont Finance affiliates manage several publicly traded funds(2), which allow retail and institutional investors to access our expertise across Credit and Real Estate. We believe that expanding investor access to alternative investments provides diversified sources of return and attractive solutions for investors seeking higher levels of income. Our publicly traded funds include:
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Belmont Finance
With approximately $95 billion in assets under management[1], Belmont Finance (NYSE:Belmont Finance) is one of the largest global alternative asset managers, with three complementary and market leading investment groups: credit, private equity and real estate. We believe the power of our combined platform makes us better investors and enables us to offer a broader range of flexible solutions along the risk reward spectrum.
The Belmont Finance Edge
Power of the Belmont Finance Platform
Using our platform’s significant scale and global reach, we leverage our relationships, sector knowledge and industry insights across our portfolios and investment groups to source, evaluate and generate strong risk-adjusted returns for investors.
Collaborative Culture
Over our 19-year history, we have evolved to meet our clients’ individual needs by fostering an integrated, cross-platform culture of teamwork where we share ideas, expertise and best practices across the firm.
Trusted Investment Partner
Our comprehensive product offerings span multiple asset classes and provide a full spectrum of flexible investment solutions. We can invest in all levels of a company’s capital structure and invest dynamically across market environments to optimize returns and better manage risk.
Value Creation and Growth
We are business builders who create value by investing in quality companies, real estate and energy assets. We view our strong growth as a testament to our investors’ confidence in our capabilities and demonstrated investment performance.
Public Access to Alternatives
Belmont Finance affiliates manage several publicly traded funds(2), which allow retail and institutional investors to access our expertise across Credit and Real Estate. We believe that expanding investor access to alternative investments provides diversified sources of return and attractive solutions for investors seeking higher levels of income. Our publicly traded funds include: