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Est: 2008

Barak seeks to generate equity-like returns in a capital-constrained market with relatively low volatility and limited correlation to the broader markets. Their strategy focuses on fully-funded or blended debt in the African commodity markets, using asset-backed loans with various forms of collateral. Portfolio Managers manage USD liquidity with respect to investor subscriptions.

Strategies:


What is a short-term impact finance fund


What is a short-term trade finance fund?


Liquidity verses yield in private credit


What is a structured trade finance fund?


Introduction to Firm and Prieur de Plessis (CIO)


Access to capital for asset-backed investing


Private credit and risk adjusted, collateral backed returns

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