BKN Capital is an authorized Alternative Investment Fund Manager led by a team of seasoned professionals. We specialize in operating fund platforms for illiquid and complex assets with a particular expertise in (credit) risk management, internal rating and valuation models. Our team members held various senior roles in banks and asset management firms, and hence add significant value to every facet of operations within BKN Capital.
BKN Capital has extensive experience in drafting, implementing, monitoring and enforcing asset specific valuation policies (including Level 2 and Level 3 type assets and alternative valuation methods such as mark-to-matrix and mark-to-model). We define, monitor and support the Fund Administrator’s pricing and valuation process.