Advisors
Canyon has a well-established reputation as a value-oriented / value-added investor focusing on event-driven opportunities that are inefficiently priced as a result of business, credit, financial or legal uncertainties. The Canyon family of funds, including the Canyon Value Mortgage Fund, the Canyon-Johnson Urban Funds, The Value Realization Fund, L.P., The Canyon Value Realization Fund (Cayman), Ltd., and the Canyon Capital Arbitrage Fund seek investment returns (both current income and capital appreciation) by employing a "bottom up" approach to misperceived and/or mis-assessed investment opportunities.
Funds managed by Canyon are based on an absolute return-driven strategy and on our core competency of thorough due diligence and risk analysis. Canyon is dedicated to generating stable, predictable returns which are relatively uncorrelated with the broader debt and equity markets.
All of Canyon's investment activities share a common multi-strategy approach to investing - utilizing an absolute return, credit-based underwriting discipline. Central to each investment is a commitment to:
- Focusing on assets with value and event drivers
- Controlling events causing discounts
- Performing rigorous multi-disciplined due diligence
- Identifying proprietary, negotiated transactions
- Generating absolute returns that are not correlated with broader debt and equity indices



