Strong Roots in credit markets, combined with our expertise in structured finance, allow us to deliver the most value to our clients. Through its Asset Management business, Cohen & Company currently has approximately $2.6 billion in assets under management. Our portfolio management teams specialize in a variety of innovative investment vehicles organized along asset classes, with an additional focus on debt issued by European, U.S. and Bermudian insurance companies. We manage investment products, including funds, managed accounts, Special Purpose Acquisition Companies (SPAC) equity, and collateralized debt obligations.