BlueMountain Capital Management is a global alternatives asset manager with offices in New York, London and Tokyo. The firm manages $20 billion in assets across co-mingled funds, private capital vehicles, single-investor funds and CLOs. We believe markets exhibit artificial segmentation due to organizational/regulatory constraints and behavioral biases. BlueMountain’s capabilities, processes, and culture are designed to capture opportunities created by these inefficiencies. We integrate diverse strategies, including Credit, Distressed, Equity Derivatives, and Asset Backed Finance, amongst others. Our investment process relies on entrepreneurial teams with flexibility to pursue opportunities in their areas of expertise, collaborating across disciplines to generate best ideas.