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A Disciplined and Differentiated Approach

Over our long history, Glazer Capital has been tested across bull and bear markets alike, and the Firm’s dedication to risk management has never wavered.

Glazer’s team has developed expertise in the complexities and inefficiencies in both equity and fixed income markets. Our differentiation lies in our ability to invest across multiple event-driven strategies and across the capital structure in a way that we believe optimizes our risk/reward profile.

Each investment is evaluated on a stand alone basis through a research-intensive investment approach. We develop conviction by identifying hard catalyst events, working to understand the parties involved, and analyzing risks in each underlying transaction.

Our efforts in seeking to avoid unquantifiable or excessive risks across the portfolio is the basis of our risk management framework. We are proud of our measured approach and continuously aim to generate absolute returns across all market environments.

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