
Simran Capital is a Stressed Fixed Income Investment Manager.
Our purpose is to deliver consistent returns while employing one of the more risk-averse investment strategies in the industry.
Our "Recovery Valuation Approach" incorporates numerous propreitary statistical tools as well comprehensive investment banking financial models to uncover global investment opportunities in the credit markets by analyzing credit valuations in their worst case recovery valuation scenarios.
In 2005, Simran Capital launched the first ‘Pre-Event’ Driven Activist investment strategy in the industry. This one of a kind strategy has proven to maximize performance with a low correlation to equity and debt markets while maintaining superior risk/reward profiles.
The Simran team brings more than 30 years of combined high yield and distressed experience to this specialized approach, providing a track record of success to institutional investors, family offices and high net worth clients.
"The Simran Team are not just Portfolio Managers looking for returns, but Investment Bankers who identify and build value!"
-Dow Jones News
2008 Hedge Fund Of The Year
Focus Point Press along with Opal Financial Group and the Global Emerging Manager Summit presented Simran Capital Management with the Award for 2008 Hedge Fund of the Year. The judging panel was comprised of industry specialists, institutional and private investors. Judging decisions were based on performance, qualitative and structural criteria. Simran Capital was awarded 2007 Emerging Manager of the Year at last year's award ceremony.
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