Arrow is a vertically-integrated asset manager and a leading European credit servicer, combining information advantage, proprietary deal access, and operational know-how to execute deeply informed transactions with consistently high returns.
Below are six key facts about Arrow:
- Balance sheet deployed
- 3rd party asset servicing capability
- Fund management capability
2005 – 2012:
Building a successful investment track record.
2013 – 2018:
Entered new geographies through the acquisition of leading asset servicing businesses.
Deployed over €2bn of own capital alongside over €3.9bn of third-party content.
Acquisition of complementary fund management businesses.
Launch of ACO 1 fund made Arrow the leading European integrated asset manager in distressed assets.
The Power of Vertical Integration
Our unique integrated model drives a track record of generating consistently high teens returns.
|Data & Analytics|
|Arrow’s Credit Management Platform|
|Portfolio & Asset Divestitures|
|Average 18% Gross IRR1 >10 Years With a Sub 1.5% Loss Rate|
- ‘Gross IRR’ based on lifetime return calculations, using collections up to 30 June 2022, future cash flow projections and allocated costs (based on today’s platform) ‘Gross IRR’ represents annualised return rate before taking into account fund level expenses, management fee and carried interest.
Arrow Credit Opportunities 1 (ACO 1)
Featured in 2021 Prequin Global Private Debt report as having one of the: