Investment Strategy

Since BlueArc’s inception, we have constructed customized ways for our investors to allocate capital to the alternative asset class. Our market differentiation is found in our history of forming various tailored fund products and strategies in partnership with our investors. As we have developed our firm, we have observed that many family offices, small institutions, and wealth advisory firms want to be more involved in their alternative asset investments (i.e. more transparency, more precise allocations/exposures, investment committee involvement). However, in many cases, these investors do not necessarily want to add the personnel and resources to run these investments internally.

BlueArc has served as an outsourced alternatives team for these types of investors, providing them with similar benefits of internally-managed funds without the significant investment in staff, due diligence, administration, and operational infrastructure. Our current platform of alternative investments includes the following strategies:

Private Credit

  • Global Credit Opportunities I
  • Global Credit Opportunities II
  • Distressed Municipal Opportunities
  • Mezzanine Capital I
  • Mezzanine Capital II (BlueArc-Callodine)

Special Situations

  • Distressed & Event-Driven Direct Investments
  • Stressed/Opportunistic Asset-Backed Securities

Private Equity

  • Direct Investments

Alternative Market Strategies

  • Absolute Return / Market Neutral
  • Global Macro
  • Traded Equities
  • Event-Driven

Real Estate

  • Core Real Estate Income Strategy
  • Alternative Real Estate Direct Investments


See our additional information in the site navigation with details on each strategy.

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