Antares Capital Advisers and its relying advisors offer investment management services to institutional investors and private funds. They focus on three main strategies: investing in secured loans sourced by the Antares Platform (Private Credit), broadly syndicated loans and high-yield bonds (Liquid Credit), and existing limited partnership interests in third-party private credit funds (Credit Secondaries). The ultimate owner of the firm is the Canada Pension Plan Investment Board.
Antares Capital Advisers generally charges a management fee based on the outstanding principal balance of the loans in a client's portfolio. These fees are negotiated with each client and billed quarterly. Some clients also pay a performance fee based on capital gains. There are no set fee schedules.