Clearwater Capital Partners' portfolio consists primarily of public and private debt, equity or other instruments issued by financially distressed or stressed enterprises in Asian credit markets. The firm's investment strategy is focused on building diversified holdings of non-correlated, cash-generating instruments that provide natural exits and are sourced from niche segments of the region's distressed market, where borrowers have demonstrated an ability and willingness to pay creditors.

Clearwater's goal in its strategy is to limit risk and volatility while maximizing current returns and identifying targeted upside potential in the firm's portfolios. This is accomplished through the firm's investment philosophy; a disciplined investment approach that draws on Clearwater's in-depth, proprietary research; and sophisticated portfolio management conducted by market-seasoned professionals.