Focused Credit Investing

Float Management exclusively invests in corporate revolving credit commitments

Investment Principles

Borrower-Friendly Approach

We take a relationship-oriented approach to sourcing, engaging constructively with banks and sponsors to provide a reliable outlet for revolver commitments

Disciplined Underwriting

We focus on business quality and margin of safety, supported by rigorous capital structure analysis and a fundamentals-driven credit review

Flexible Settlement

We work with counterparties to structure purchases efficiently, accommodating assignment or participation needs while preserving key protections

Active Oversight

We maintain consistent monitoring to ensure ongoing credit discipline

OUR TEAM
David Moradi
Chief Investment Officer
David Moradi is the Chief Investment Officer at Float Management. Previously, he was a Managing Director and member of the Investment Committee at CBAM Partners. Earlier in his career, he worked at Eldridge Industries, Guggenheim Partners and Fortress. David has an MBA from Wharton and a BS in Mathematics from The University of Oklahoma.
Seth Levine, CFA
Managing Director
Seth Levine has over two decades of corporate credit experience, with prior roles at HPS Investment Partners, Guardian Life, and major Wall Street banks. He holds a B.S. in Mechanical Engineering from Cornell University and is a CFA charterholder.

Contact Us

contact@floatpartners.com

28 Liberty Street, 6th Floor New York, NY 10005