Oaktree Capital

Alternative investment manager focused on risk-controlled returns across credit, equity, and real estate.

Asset Manager / Fund Manager Advisory Investment Platform Research 📍 Los Angeles
Visit Website Request Info Last reviewed: April 2026

Overview

Oaktree Capital Management was founded in 1995 around a single thesis: superior returns come from controlling risk first, not chasing return. That founding conviction now governs $223 billion in AUM across three strategy pillars, and it shapes what family offices actually get when they invest through Oaktree: a manager whose investment philosophy is publicly documented, consistently applied, and reinforced by Howard Marks’s widely-read memos.

For family offices allocating to alternatives, Oaktree offers access across the full capital structure through three clearly defined categories:

  • Credit: both liquid and illiquid instruments, sourced directly from borrowers and via public markets
  • Equity: private equity, special situations, and listed equities across global regions
  • Real Estate: a global platform built around operating partner relationships and multi-disciplinary deal sourcing

Oaktree’s client base is oriented toward institutional investors. The firm counts 64 of the 100 largest U.S. Pension plans, 17 sovereign wealth funds, and over 300 endowments and foundations among its clients. Family offices are not named as a primary client segment on the site, which matters for buyers evaluating fit. Access to strategies is restricted to accredited investors, with U.S. Offerings placed through OCM Investments, LLC (FINRA member). Since 2019, Oaktree has operated as an independent business within Brookfield Asset Management, which provides capital scale and distribution reach without merging investment teams or product lines. Pricing is not publicly disclosed, and family offices should expect to engage directly with Oaktree’s marketing team for fund-specific terms and access minimums.

"Oaktree's mission is to deliver superior investment results with risk under control and to conduct our business with the highest integrity."
Oaktree Capital

Product & Capabilities

Main Tasks
Providing access to alternative investment strategies across credit, equity, and real estate Managing illiquid and liquid credit portfolios sourced directly and via public markets Executing private equity and special situation investments globally Deploying capital into real estate through operating partner relationships Publishing market commentary and investment insights for clients and prospects
Assets Supported
Private Credit Public Credit High Yield Bonds Private Equity Special Situations Listed Equities Real Estate Alternatives
Top Features
Credit strategies covering liquid and illiquid instruments Private equity and special situations across global regions and market sectors Listed equities strategies Real estate platform with global operating partner network Howard Marks investment memos and market commentary Quarterly strategy letters and investor updates Podcast and video content through The Insight: Conversations series Accredited investor access via OCM Investments LLC (FINRA member)
Technology
Services-only FINRA member (OCM Investments, LLC) Regulated by the Dubai Financial Services Authority Authorised and regulated by the Financial Conduct Authority (UK)

Pricing

Cost Structure
AUM-based

Pricing estimates are indicative only. Contact Oaktree Capital directly for a tailored quote based on your specific requirements.

Company

OwnershipMajority-owned by Brookfield Asset Management (since 2019); operates as independent business within Brookfield
Total AUM / Assets$223 billion
Offices
Los Angeles New York Stamford Houston Dallas London Paris Frankfurt Madrid Stockholm Zurich Luxembourg Dublin Amsterdam Dubai Singapore Hong Kong Tokyo Seoul Shanghai Beijing Mumbai Hyderabad Gift City Sydney
Top Markets
United States United Kingdom Germany France Spain Luxembourg Ireland Netherlands Singapore Hong Kong Japan South Korea China India Australia United Arab Emirates
Key People
HM
Howard Marks
Co-Founder
AP
Armen Panossian
Co-Chief Executive Officer
BO
Bob O'Leary
Investment Professional
DR
David Rosenberg
Head of Liquid Performing Credit
NK
Nael Khatoun
Investment Professional
MJ
Madelaine Jones
Investment Professional
SP
Suzana Peric
Investment Professional

Clients & Focus

Firm Type Asset Manager / Fund Manager
AUM / Assets Tracked$223 billion

Contact

Headquarters
333 South Grand Avenue, 28th Floor, Los Angeles, CA 90071
Get in Touch