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Adjusted for Risk: Taking Advantage of Market Inefficiencies Through Distressed InvestingAdjusted for Risk: Taking Advantage of Market Inefficiencies Through Distressed Investing

Schultze Asset Management's George Schultze discusses distressed investing.

Ryan Nauman, Market Strategist

May 21, 2024

In this very interesting and fun episode, Schultze Asset Management's Founder, George Schultze shares his insights into the world of distressed investing.

George discusses the fundamentals of distressed investing, how the current macro environment impacts distressed debt markets and why he believes there is a great opportunity in distressed debt.

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About the Author

Ryan Nauman

Market Strategist, Zephyr

As Zephyr’s Market Strategist, Ryan Nauman provides thought-provoking analysis and research on market trends across asset classes, sectors, and regions to help empower better asset allocation strategy decisions. His ability to navigate complex market dynamics and identify emerging trends has made him a trusted voice among investors and industry professionals alike. He is an accomplished investment strategist who has spent the last 22 years in the investment management industry, ranging from working with plan sponsors, managing the investments of retail investors, and providing actionable thought leadership to investment professionals.