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CarVal Investors

 

Seeing opportunities where others see only risk™

CarVal Investors, an independently managed subsidiary of Cargill Incorporated, is a leading global alternative investment fund manager focused on distressed and credit-intensive assets and market inefficiencies. CarVal Investors manages investments across the globe, through its eight offices and across four primary asset classes: corporate securities, loan portfolios, real estate and special opportunities.

Since 1987, our experienced team has navigated through ever-changing credit market cycles, opportunistically investing more than $42 billion in 3,900 transactions across 59 countries. Today, CarVal Investors has $10 billion in assets under management in both credit and real estate strategies.

Leading global alternative investment manager

Started in 1987 by Cargill, CarVal Investors has been a first mover or early entrant across the globe, having invested more than $42 billion in 3,900 transactions across 59 countries. Today, CarVal Investors has $10 billion in assets under management in both credit and real estate strategies.

For two decades, CarVal Investors has earned a reputation for integrity, discipline and rapid execution by drawing on its experienced team and working with local asset managers across the globe. CarVal Investors manages commercial credit and real estate investments, seeking opportunities in distressed assets and distressed markets. The firm pursues situations where it can readily identify value creation in a predictable time frame and where its core competencies and competitive advantages translate into sustainable and attractive risk-adjusted returns.

 

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