About GARDANT INVESTOR SGR SPA

GARDANT INVESTOR SGR SPA was established with a clear mandate: to provide institutional investors with disciplined, specialist access to European alternative credit markets, with particular focus on private debt, distressed assets, and non-performing loan portfolios. From inception, the firm has been built around a culture of analytical rigour, operational transparency, and long-term partnership with investors. Our founding team brought together professionals with backgrounds spanning investment banking, distressed debt advisory, structured finance, and fund administration, creating a genuinely integrated platform capable of managing the full lifecycle of complex credit investments. Over the years, we have developed proprietary pricing and portfolio monitoring methodologies specifically calibrated for illiquid credit markets, where standard market data is limited and fundamental analysis is paramount. We operate as an authorised SGR under Italian regulatory oversight, and our fund structures are designed to meet the requirements of sophisticated European institutional investors including insurance companies, pension funds, and asset managers. Our investment philosophy is anchored in the belief that consistent, superior risk-adjusted returns in alternative credit require both deep asset-level expertise and disciplined portfolio construction — not simply the pursuit of yield. We are highly selective in the opportunities we pursue, focusing on markets and asset types where we have a demonstrable informational or operational edge. Client relationships are central to how we operate: we invest significant time in understanding each investor's objectives, constraints, and reporting requirements before and during the fund lifecycle. GARDANT INVESTOR SGR SPA remains privately governed, which allows us to maintain a long-term investment horizon free from short-term performance pressures that can distort decision-making in the alternative credit space.