Filters: Filters: Reset All Filters XClose Filters Dropdown Topic/Tag Tags Reset Close Category Category Reset Economic and Market Commentary Investment Strategies Viewpoints Blog Financial Institutions Education Close Order By Order By Reset Alphabetical Most Recent Close Download ({{cCtrl.itemsToDownload.length}}) Empty Remove {{selOpt}} Filter () filters applied
Featured Solutions Distressed Credit Opportunities on Rise Amid Uncertainties in Middle Markets Distressed Credit Opportunities on Rise Amid Uncertainties in Middle Markets Liquidity issues and other business risks could prompt a wave of defaults and restructurings, in turn creating fertile ground for opportunistic investing in distressed credit.
Featured Solutions Distress Signals: Illuminating Risks and Opportunities in Corporate Credit Distress Signals: Illuminating Risks and Opportunities in Corporate Credit
Investment Strategies The Opportunity – Elevated Risks in Corporate Markets(video) The Opportunity – Elevated Risks in Corporate Markets Elevated risks in corporate markets in addition to persistent catalysts may create opportunities independently of a broader default cycle. Our specialists take a closer look at uncovering value as industries and companies face fresh challenges.
Viewpoints Discerning the Nuances in Distressed Credit: Why Active Management Matters Discerning the Nuances in Distressed Credit: Why Active Management Matters In distressed credit investing, careful legal and capital structure analysis must go hand in hand with fundamental corporate analysis.
Adam Gubner Portfolio Manager, Distressed Debt Share Share Share via LinkedIn Share via Facebook Share via Twitter Share via Email Add Add Download Download Print Print Mr. Gubner is a managing director and portfolio manager in the Newport Beach office, focused on private and public debt opportunities within the firm's special situation/distressed debt strategies. Prior to joining PIMCO in 2010, he was co-founder and co-portfolio manager of ALJ Capital Management's distressed credit strategy platform. Previously, he was a distressed high yield research analyst at Imperial Capital. Mr. Gubner began his career as an attorney and worked in the insolvency practices of Arter & Hadden and Stroock & Stroock & Lavan. He has 18 years of investment experience and an additional seven years of legal experience working with distressed debt. He holds a J.D. from University of the Pacific, McGeorge School of Law and an undergraduate degree from the University of California, Santa Barbara.