Our Strategy

  • MM Asset Management seeks to exploit market inefficiencies to acheive high risk adjusted returns
  • Primary focus is on merger arbitrage, private placements, capital structure arbitrage and other event driven special situations
  • The Fund targets situations that are not properly understood by market participants and which offer high risk adjusted returns
  • MM Asset Management gains informational advantages through extensive in -house research and direct communication with senior management and other company insiders
  • The Fund managers use market neutral hedging strategies to ensure little exposure to market movements, resulting in absolute returns that are independent of the direction of the market
  • The investments team employs a strict risk management policy. The portfolio is constantly monitored to ensure concentration, deal downside and leverage do not exceed the Fund’s parameters