
About Aritmétika
Founded in 2013, Aritmétika Asset Management is an independent, alternative asset manager specializing in credit strategies
We aim to deliver attractive returns with controlled risk and minimal correlation to traditional markets. We explore those opportunities primarily through private credit investing, with a focus on sovereign-linked alternative assets originating in Colombia.
Diverse Solutions.
Innovative Strategies.
Catering to institutional and sophisticated investors, including international pension funds; asset managers and family offices, we have built a strong track record of underwriting a diverse range of senior-secured structures-spanning government and corporate debt, as well as final judgments.


Aritmétika is a recognized as one of the most sophisticated investment management firm in Colombia. Our focus on credit opportunities characterized by low market correlation and default risk has made us a trusted partner for institutional investors seeking innovative strategies.
Our experienced leadership team works closely to harness their complementary skill. Together with a capable operational team, we continue to pursue high-quality opportunities across a range of sectors, supported by disciplined underwriting and a strong governance framework.
Certifications
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