Highland Peak Capital manages private funds and provides investment advisory services to separately managed accounts, which are primarily private funds and government entities. The firm's investment objective is to generate capital appreciation in equities and distressed credit, seeking to outperform market indices through long and short positions. HPC participates in information sharing arrangements with third parties.
Highland Peak Capital generally receives advisory fees and performance-based fees for its investment management services. The management fee is 1.50% per year of the fund's net assets, charged quarterly in advance. A performance allocation of 17% of net profit is also charged annually, subject to a loss carry-forward provision. Fees for separately managed accounts are individually negotiated.