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Abacus Global Management Well-Positioned Amid Market Volatility
ABLAbacus Life(ABL) GlobeNewswire·2025-04-07 20:15

Core Viewpoint - Abacus Global Management is well-positioned to leverage current market volatility due to its unique business model and strategic advantages in uncertain market conditions [1][2]. Group 1: Market Positioning - The ongoing macro environment has created opportunities for Abacus as individuals and financial advisors seek alternative liquidity sources during market uncertainty, leading to increased origination opportunities [2]. - Investors are increasingly looking for uncorrelated alternative assets to diversify their portfolios, with Abacus' specialized offerings, including fourth and fifth round funds, attracting significant interest from registered investment advisors [3]. Group 2: Recent Developments - The acquisition of Carlisle Management Company enhances Abacus' market position by expanding its product lineup, particularly in GP/LP-style funds that have seen strong demand from advisors [4]. - Abacus maintains a strong balance sheet with cash and cash equivalents of 128.8millionandbalancesheetpolicyassetsof128.8 million and balance sheet policy assets of 371.4 million as of December 31, 2024, along with availability under its share repurchase program [5]. Group 3: Business Model Resilience - The dual advantage of serving both consumers seeking liquidity and investors pursuing uncorrelated assets contributes to a resilient, cycle-tested business model for Abacus [4].