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FLOAT MANAGEMENT, LP

FLOAT MANAGEMENT, LP is a other fund in the US writing $2.5M+ checks into credit and corporate-credit.

Stages
other
Sectors
credit, corporate-credit
Check size
$2.5M+
Invests in
US-wide

Thesis

The firm's core strategy is to acquire these credit facilities, providing a reliable outlet for banks and sponsors through a constructive, relationship-oriented approach. They emphasize rigorous capital structure analysis, fundamentals-driven credit review, and a focus on business quality and margin of safety. Float Management aims to be a lead investor in this niche, seeking to build a long-term, sustainable business model. The firm's geographic scope is primarily the US, with headquarters in New York. The firm's philosophy centers on a borrower-friendly approach, disciplined underwriting, flexible settlement, and active oversight. Float Management's 'portfolio' consists of the credit facilities they acquire, rather than traditional equity or debt investments in specific companies.

Common questions

Does FLOAT MANAGEMENT, LP invest at the other stage?

Yes. FLOAT MANAGEMENT, LP lists other among the stages it invests in.

What check size does FLOAT MANAGEMENT, LP write?

FLOAT MANAGEMENT, LP writes $2.5M+ checks.

Where does FLOAT MANAGEMENT, LP invest?

FLOAT MANAGEMENT, LP invests in the US.