Hayfin Capital manages investments for funds, focusing on assets like corporate debt, high yield bonds, and mortgage-backed securities. The firm's Investment Committee analyzes market trends and company data to construct portfolios and may use hedging strategies to manage risk. Hayfin Capital's goal is to maximize value for the funds it manages.
Hayfin Capital manages investments for funds and receives a base management fee, a subordinated management fee, and/or a contingent management or carried interest performance-based fee. The specific fees and how they are calculated are detailed in each fund's offering documents. These fees are exclusive of brokerage commissions and other transaction costs.