Statements (50)
Predicate | Object |
---|---|
gptkbp:instance_of |
gptkb:fund
|
gptkbp:capital_commitment |
Long-Term Capital
|
gptkbp:credit_analysis |
Comprehensive Analysis
|
gptkbp:data_return |
Interest Income
|
gptkbp:established_in |
gptkb:2010
|
gptkbp:financial_modeling |
Detailed Financial Models
|
gptkbp:financial_reports |
Quarterly Reports
|
gptkbp:focus_area |
gptkb:Europe
gptkb:North_America |
gptkbp:focuses_on |
Private Debt Investments
|
gptkbp:funding |
$2 billion
|
gptkbp:has_diversity_initiatives |
Sector Diversification
|
gptkbp:has_exit |
Public Offering
Debt Repayment Private Sale Refinancing or Sale |
https://www.w3.org/2000/01/rdf-schema#label |
Lazard Global Private Debt
|
gptkbp:investment |
gptkb:Partnerships
Credit Risk $1 million Operational Risk 3 to 5 years Experienced Professionals Market Risk Moderate to High Liquidity Risk Capital Preservation Limited Liquidity Value-Added Approach Regulatory Risk Strong Cash Flow |
gptkbp:investment_focus |
Middle-Market Companies
Private Markets |
gptkbp:investment_strategy |
Economic Growth
Direct Lending Low Default Rates Positive Market Conditions Increased Demand for Credit Stable Interest Rates |
gptkbp:is_debated_in |
Rigorous Assessment
|
gptkbp:managed_by |
gptkb:Lazard_Asset_Management
|
gptkbp:partnership |
Limited Partners and General Partners
|
gptkbp:performance |
S& P/ LSTA Leveraged Loan Index
|
gptkbp:portfolio_company |
Active Management
|
gptkbp:rating |
Senior Secured Debt
|
gptkbp:regulatory_compliance |
SEC Regulations
|
gptkbp:revenue |
Management Fees and Performance Fees
|
gptkbp:target_investor_type |
Institutional Investors
|
gptkbp:bfsParent |
gptkb:Lazard_Ltd
|
gptkbp:bfsLayer |
7
|