TIG Advisors’ investment strategies offer proven and repeatable processes that have been applied through multiple market environments.
Each portfolio manager has the autonomy to maintain the culture, philosophy, and research capability that is distinct to their investment discipline, while drawing on the institutional infrastructure of TIG Advisors.
TIG Advisors currently manages the following distinct investment strategies:
Event-Driven Global Merger Arbitrage Strategy
This strategy focuses on 0-30 day events within the merger process. The team looks to uncover complicated situations where their primary research process provides an edge and generates alpha.
Real Estate Bridge Lending Strategy
This strategy focuses on complex construction, term, and pre-development bridge loans throughout North America. The Fund’s diversified portfolio primarily consists of first lien mortgages with no structural leverage. The team places an emphasis on risk management via rigorous underwriting consisting of borrower analysis, vetting, and extensive monitoring across all major real estate asset classes.