Fortress Investment Group was started back in the year 1998 by one Randall Nardone and his co-associates. The company deals with real estate and vehicle lending ventures. Fortress Investment Group started as a private equity company and has grown over the years to become one of the leading investments groups in New York’s economy. In 2007, it was speculated its initial public offering as it became the first large-scale private firm to go public on the New York Stock Exchange. As of recent times, Fortress Investment Group is a global investment management firm that covers in excess of $43 billion with over 1,750 investors in permanent capital vehicles, private equity, and hedge funds. The firm has employees ranging over the 900 people mark. Fortress’s primary strategy is based on high risks that in turn return to high returns.
The central framework of the firm lies on five areas of expertise namely; asset-based investing, operations management, corporate mergers and acquisitions, capital markets, and sector specific knowledge of companies and institutions. In asset-based investments consist of private equity and credit funds where broad arrays of assets create long-term cash flow for the firm. The items that bring such income include real estate, capital to start businesses, and financial vehicles. The firm is known for its excellent technical know-how in owning, pricing, financing, owning, and management of physical and financial assets. In operation management theme, the firm has developed useful tools that extract facts on the ground, something that has led to its rise over the recent years.
Fortress Investment Group has developed a niche in the merging and acquisitions. The employees manage relationships with a broad spectrum of corporate board members, management professionals, customers, and other corporate stakeholders. Its merger with Softbank is an excellent example of such alliances the company has had in the last two decades. In regards to the capital markets, the firm is an expert in mobilizing capital through financial strategies like debt and equity markets. Its knowledge concerning other financial institutions is optimal, and its employees possess an understanding of financial markets on a global scope, (Patch).
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