Experience Our team of professionals has almost 200 years of combined experience in risk and asset management, institutional sales and trading, research, quantitative modeling and collateral surveillance from top sell-side and buy-side firms.
Best in Class Systems and Analytics Treesdale has developed customized state of the art systems and analytics that contribute to a comprehensive approach towards portfolio management, risk analysis, and collateral surveillance.
Risk Management Treesdale bases its investment approach on risk analysis and portfolio management through its deep knowledge and experience in the key functional areas of the market including trading, deal structuring, credit and collateral analysis and loan surveillance.
Transparency Position-level transparency has always been a cornerstone to our investment approach. We extend that to our investors by inviting constant dialogue and visits with our senior management and investment teams, as well as providing weekly and monthly updates.