Our Approach

Green Papaya’s diversified investment strategies seek to generate attractive returns through disciplined asset selection and hedging in a broad range of sectors, comprising U.S. and European equities and options, futures, residential mortgages and consumer debt, expressed through a combination of securitized and unsecuritized loans, as well as cash and synthetic corporate credit.

We rely on our deep expertise, proprietary models and research, and extensive trading relationships to implement relative value investment strategies. Our objective is to capture a stable income stream while mitigating return volatility over time, with our core positions outperforming their associated hedges through excess cash flow and/or superior price performance.

We seek to generate additional alpha by providing liquidity to the market and investing in sectors requiring highly specialized capabilities. Green Papaya’s approach to portfolio management emphasizes active trading within and between sectors.