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Blair Franklin

Asset Management

Blair Franklin Asset Management Inc. manages the Blair Franklin Global Credit Fund LP and the Blair Franklin Global Rates Fund LP. Assets are managed by our team of seasoned fixed income professionals including Peter Zaltz, Dennis Freeman and Christopher Northfield. Credit and economic research is conducted in-house.

Risk management of our funds is overseen by Blair Franklin’s Capital Allocation Committee and managed through our proprietary systems. The asset management platform is built on existing prime brokerage, legal and tax advisor relationships. Funds are administered by GlobeOp Financial Services.

Blair Franklin Global Credit Fund LP An absolute return fund which is focused on the global credit markets including corporate, infrastructure, provincial and government bonds
Blair Franklin Global Rates Fund LP An absolute return fund which is focused on G20 government bonds, and related agency bonds and supra-sovereigns