About Contrarian

A 30-Year Legacy in Opportunistic Credit across Developed and Emerging Markets

Contrarian Capital Management, L.L.C. is an independently-owned investment firm specializing in opportunistic credit and special situations globally. Since 1995, we have been known for disciplined long-term investing, deep fundamental research, and a consistent focus on downside protection.

Contrarian was founded to capitalize on opportunities in parts of the credit markets that are often less trafficked due to issuance size, structure, or market conditions. This includes developed and emerging markets, where we seek to identify securities with embedded value and favorable risk/reward characteristics. We focus on:

Breadth of Capabilities,
Strength in Alignment

Off-the-run instruments
Dislocated and less efficient credit capital structures
Discounted debt with favorable risk/reward characteristics
Trade claims and other private obligations
Cross-border legal and restructuring situations
Special situations and catalyst-driven situations

Our experienced team excels in situations where liquidity and other barriers create inefficiencies, allowing us to pursue equity-like returns using credit instruments.

Global Presence,
Consistent Philosophy

Our Reach
With our headquarters in Greenwich and research offices in London and Hong Kong, we bring a global lens to identifying and analyzing opportunities.
Our Philosophy
Across our Developed Markets, Emerging Markets, and Real Estate strategies, our philosophy is consistent: protect capital, stay selective, and pursue undervalued opportunities in overlooked corners of the market.
Our Commitment
Now in our fourth decade, we remain committed to creative and thoughtful investing that aims to achieve differentiated long-term returns for our clients.