Welcome to Greylock Capital Management

Greylock Capital Management, LLC (Greylock Capital) is a SEC-registered investment adviser, which relies on its extensive investment experience to identify unique, non-consensus opportunities with lower correlation to global markets. Greylock Capital's approach stresses intelligent value investing, prudent hedging and capital preservation. We use a strategy focusing on non-leveraged investments that is a balance of two strategic components: High Yield Debt Securities and Debt Restructuring.

The High Yield component of the portfolio seeks income producing government and corporate securities with strong fundamentals and capital appreciation potential. The Debt Restructuring component of the portfolio seeks securities of issuers that have defaulted or are in immediate threat of doing so and seek to earn a material return incidental to the restructuring process. This balanced strategy, to which Greylock Capital has remained loyal over the past 14-years, is designed to reduce correlation with major markets, dampen portfolio volatility and generate current income.


About Greylock Capital Management
The Greylock Capital strategy began in 1997. Greylock Capital currently employs 10 investment professionals and 5 infrastructure professionals: its principals are comprised of bankers, traders, lawyers and restructuring specialists who have structured and executed tender offers, restructurings and exchange offers on more than US$75 billion in sovereign & corporate debt since 1998.

Greylock Capital’s 14-year performance record is one of the longest among emerging market fund managers. Greylock Capital has a full institutional platform, with its main office in New York and research and representative offices in Singapore and Ghana.

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