Asset management company providing alternative investment strategies and solutions to institutional and individual investors.
ArrowMark Financial Corp. operates as a closed-end balanced mutual fund under the management of ArrowMark Asset Management, LLC. Founded on February 7, 2013, the fund is domiciled in the United States and focuses on investing in both public equity and fixed income markets globally. This strategic approach allows ArrowMark Financial Corp. to diversify its portfolio across various sectors and market capitalizations.
In terms of its equity investments, ArrowMark Financial Corp. targets stocks within the financial and banking sectors. It adopts a dual strategy of investing in both growth and value stocks, aiming to capitalize on opportunities across different stages of company development and market conditions. This balanced approach is designed to enhance portfolio stability while seeking attractive long-term returns.
For its fixed income segment, ArrowMark Financial Corp. allocates investments into debt and subordinated debt securities, structured notes, and regulatory capital securities. These investments may include assets rated below investment grade, reflecting the fund's willingness to take calculated risks to potentially achieve higher yields. With a disciplined investment strategy and active management by ArrowMark Asset Management, ArrowMark Financial Corp. aims to deliver consistent performance and value to its shareholders in the dynamic global financial markets.