Contact info
  • General Enquiries:

    Info@Oaklawncap.com

  • Compliance:

    Compliance@Oaklawncap.com

  • Settlements:

    Settlements@Oaklawncap.com

  • US Office:

    362 W 46th St,
    New York, NY 10036,
    United States

  • UK Office:

    93 Gloucester Place ,
    London W1U 6JG,
    United Kingdom

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About Us

A Fixed Income
Investment Manager
Focused on Discipline

A New York and London-based fixed-income credit investment firm focused on
disciplined, research-driven strategies across global fixed income markets.


Firm Overview

An Overview of Oaklawn Capital Management LLC

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Projects Completed

Oaklawn Capital Management is an international fixed income credit investment manager focused on delivering disciplined, research-driven strategies across global fixed income markets.

The firm is built on a foundation of experience, market insight, and a structured approach to credit investing, with an emphasis on identifying relative value opportunities across currencies and instruments.

Positioning

Positioning within the
Fixed Income Market

Oaklawn Capital was established to bring together institutional expertise in fixed income portfolio management and financial credit trading.

Operating within various global fixed income  markets, the firm focuses on constructing portfolios that balance return generation with prudent risk management. By combining deep market knowledge with a flexible investment approach, Oaklawn Capital aims to navigate complex credit environments effectively.

Investment Philosophy

Our Investment Philosophy and Core Principles

Our philosophy is grounded in discipline, consistency, and a clear understanding of risk.

We believe that successful credit investing requires:

 - A strong focus on capital protection

 - Thorough analysis of market inefficiencies

 - Active management across changing economic conditions

Our approach prioritizes long-term stability over short-term speculation.

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Disciplined Risk Management

We prioritize capital protection through structured and risk-aware investment decisions.

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Credit Market Expertise

Extensive market experience of all market cycles across fixed income and credit markets drives informed investment positioning.

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Relative Value Focus

We identify mispriced opportunities across instruments, markets, and currencies and have the relationships/market access to capture that Alpha.

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Active Portfolio Management

Positions are actively monitored and adjusted to reflect evolving market conditions.

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Research-Driven Approach

Investment decisions are grounded in fundamental analysis and market insight.

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Long-Term Investment Discipline

We focus on consistency and stability over short-term market speculation.

Market Focus

Focused Approach to
Global Credit Investing

Global fixed income markets continue to evolve, presenting opportunities across a wide range of fixed income instruments.

Oaklawn Capital focuses on:

 - Financial credit markets

 - Cross-currency opportunities

 - Relative value strategies within bond markets

- Floating Rate Notes (FRN’s): An often overlooked section of the market. 

This targeted approach allows the firm to remain agile while maintaining a clear investment mandate.

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Built on Discipline.
Focused on Performance.

Discover how Oaklawn Capital Management delivers structured,
risk-aware investment strategies tailored to long-term value creation.
Connect with us to explore opportunities aligned with your capital goals.