At Valori Credit Fund, our competitive advantage lies in our rigorous underwriting and hands-on asset management approach, combined with deep market knowledge and strong relationships.
Thorough Underwriting
Asset-Level Focus
Conducting detailed underwriting based on primary value drivers, with a focus on asset heavy situations. In our due diligence we get a comprehensive understanding of each asset.
Risk Mitigation
Delivering risk-adjusted returns, diversified across portfolios and asset classes, supported by comprehensive debtor coverage and rigorous underlying asset analysis.
Tailored Business Plans
In collaboration with our operating partners, we define detailed business plans at the asset level. These plans set clear assumptions that translate into key performance indicators during the asset management phase.
Hands-On Asset Management
Active Oversight
We engage in proactive management of individual deals and their underlying asset strategies, closely following the established business plans and overseeing operating partner's performance to reach desired outcomes.
In-Depth Market Knowledge
Deep Counterparty Relationships
Our long-term knowledge of the market and connections with key players—including sellers, advisors, servicers, and debt buyers—give us a significant edge in both origination and underwriting of debt and assets.
Strong Sourcing Capability
Sourcing primary and secondary transactions at local and regional headquarters, leveraging our best-placed operating partners and advisors to enhance deal flow.
Aligned Interests
We create alignment of interests through a combination of capital at risk by the operating partners and performance-driven management fees. Our conceptual co-investment approach fosters strong partnerships across different markets and asset classes.