Shorecliff Asset Management manages a private investment fund, Shorecliff Pacific LP, investing in broadly syndicated loans and high yield bonds. Shorecliff's investment strategy is situationally focused and deliberately divergent from market trends and index-tracking, using a Full Cycle credit strategy. The firm seeks to provide advisory services to prospective investors in future investment products, tailoring its strategy offering to client needs. The Shorecliff Pacific LP fund is currently closed to new investors.
Shorecliff receives a management fee for managing the fund, typically payable monthly. The fee is a percentage of the fund's net asset value. The firm reserves the right to waive, reduce, or modify the management fee for certain investors. Shorecliff typically charges a minimum monthly management fee that is individually negotiated with each client.