Bell Point Capital Management was formed in 2010 to manage a liquid multi-strategy credit opportunities fund.
Bell Point strives to generate superior risk-adjusted returns throughout credit, economic, and market cycles. The firm invests across the capital structures of levered companies, with a primary focus on liquid bank debt, corporate bond, CDS and equity investment opportunities. Bell Point employs various credit investment strategies as the cycle evolves, including long and short directional, relative value, capital structure arbitrage, event driven, distressed and special situations.