FrontFour Capital Group manages investment funds and separately managed accounts, investing primarily in U.S. and Canadian equity and fixed income securities. They focus on undervalued companies and may engage in shareholder activism to unlock value. Their investment strategy is flexible and opportunistic, and they may invest in distressed or bankrupt companies.
FrontFour Capital Group manages investment funds and separately managed accounts. They receive a management fee of 2.0% per year of the assets in the investment funds. They also receive an incentive allocation equal to 20% of the net profits. The fees for separately managed accounts may vary.