Asset Manager

Updated:

Nut Tree Capital Management

Nut Tree Capital Management LP is an SEC-registered investment advisor.

Nut Tree Capital Management

Nut Tree Capital Management LP is an SEC-registered investment advisor. The firm deploys capital across stressed and distressed corporate debt, low loan-to-value high yield bonds, and special situations equities. Its mandate sits at the intersection of credit and deep value, favoring a long-biased posture over tactical trading. The strategy targets dislocated corporate balance sheets where loan-to-value metrics provide a margin of safety. The firm operates primarily in North American markets. Sourcing is fundamentals-driven, with no disclosed reliance on external origination partners or club structures. Headcount and assets under management are not publicly disclosed. Offices are maintained in New York, Los Angeles, and El Segundo, California — a footprint that anchors the firm in both Eastern and Western US markets. Nut Tree Capital Management operates as a registered investment advisor rather than a private fund complex, which puts its regulatory filings and fiduciary obligations on a different footing from unregistered distressed-credit managers. That registration status shapes its disclosure posture and may constrain some forms of concentrated illiquid investing that other distressed funds pursue.

General information

Firm type

Asset Manager

Year founded

AUM

Undisclosed

Location

Region

North America

Country

United States

City

New York

Corporate office

New York, Los Angeles, El Segundo, United States

Additional offices

Los Angeles · El Segundo

Sector focus

Special Situations & DistressedPrivate CreditHedge Funds

Frequently asked questions

What is Nut Tree Capital Management's investment strategy?

The firm employs a fundamentals-based, long-biased strategy focused on stressed and distressed corporate debt, low loan-to-value high yield debt, and special situations and deep-value equities. It is an SEC-registered investment advisor, which distinguishes its structure from many peer distressed-credit managers. The strategy seeks mispriced corporate obligations where underlying asset values offer downside protection.

Who runs investment decisions at Nut Tree Capital Management?

Named principals for Nut Tree Capital Management are not publicly identified in available materials. The firm's SEC registration as an investment advisor means Form ADV filings would disclose key control persons and portfolio managers, but those details have not been surfaced through public-facing sources.

How is Nut Tree Capital Management regulated?

Nut Tree Capital Management LP is registered with the US Securities and Exchange Commission as an investment advisor. This subjects the firm to fiduciary standards and periodic disclosures — including Form ADV filings that detail assets, personnel, and conflicts of interest — which differs from the exemption framework many private fund advisors operate under.

Does Nut Tree Capital Management focus on direct credit positions or fund commitments?

The firm appears to invest directly in corporate debt and equity instruments based on its stated strategy. It describes itself as employing a 'long-biased strategy primarily focused on stressed and distressed corporate debt,' which implies direct principal positions. No indication of fund-of-funds activity or external manager commitments has been disclosed.

What is Nut Tree Capital Management's geographic focus?

The firm maintains offices across the United States — New York, Los Angeles, and El Segundo, California. Its investment strategy does not specify a regional limitation, but the multi-city US presence and distressed corporate debt focus suggest a primarily North American mandate.

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