We are FS Investments

A global alternative asset manager dedicated to delivering superior performance and innovative investment solutions

We are FS Investments

A global alternative asset manager dedicated to delivering superior performance and innovative investment solutions

We are FS Investments

A global alternative asset manager dedicated to delivering superior performance and innovative investment solutions

30 years of leadership in private markets

FS Investments is an alternative asset manager dedicated to delivering attractive returns across private equity, private credit and real estate. Following its 2023 acquisition of Portfolio Advisors, FS Investments now manages over $82 billion for both institutional and wealth management clients around the world, drawing on 30 years of experience and more than 500 employees operating across nine global offices.

The firm’s investment professionals manage a wide range of differentiated strategies across private markets and collectively manage relationships with 300+ sponsors. FS Investments’ active partnership model creates a virtuous cycle of superior market insights and deal flow, which inform the underwriting process and help to generate strong returns.

A complete alternative solutions provider

Credit

Private credit

Credit secondaries

Multi-sector credit

Special situations

Private equity

Direct co-investment

Secondaries (LP- and GP-led)

Primaries

Real asset

Real estate credit

Real estate secondaries

Multi-asset

Global allocation

Multi-strategy

Pie chart graphic for four asset classes: Credit, Private equity, Real asset, Multi-asset

Key facts   All data as of 3/31/2024

$82B+

Assets under
management

9

Global offices
(Headquartered in 
Philadelphia)

30

Years of experience investing on behalf of institutional clients

500+

Professionals
worldwide

22

Private and public
market offerings


Our story – transforming the investment landscape

Michael Forman launches Franklin Square with co-founder David Adelman and a small group of colleagues.

FS Global Credit Opportunities Fund launches as the first unlisted closed-end fund.

Franklin Square reaches $10 billion in assets under management.

FSIC, the industry’s first non-traded business development company, lists on the NYSE.

Doors open at the new company headquarters, located in Philadelphia’s historic Navy Yard.

Franklin Square becomes FS Investments.

FS Energy Total Return Fund launches in partnership with Magnetar Asset Management.

FS Multi-Strategy Alternatives Fund launches in partnership with Wilshire Associates Incorporated.

FS Credit Real Estate Income Trust launches in partnership with Rialto Capital Management.

FS Credit Income Fund launches in partnership with GoldenTree Asset Management.

FS Long/Short Equity Fund launches.

FSIC merges with Corporate Capital Trust and is renamed FS KKR Capital Corp. (FSK).

Fund mergers form FS KKR Capital Corp. II, the second-largest business development company.

FS Investments acquires Chiron Investment Management, LLC.

FS KKR Capital Corp. (FSK) and FS KKR Capital Corp. II (FSKR) merge, creating a $15 billion BDC.

FS Investments partners with NYDIG to offer access to simple, efficient, and cost-effective bitcoin products.

FS Chiron Real Assets Fund launches.

Philadelphia Financial Scholars becomes independent 501(c)3.

FS Credit Opportunities Corp. (FSCO) begins trading on the New York Stock Exchange.

FS Investments and Portfolio Advisors combine, creating a $75 billion+ alternative investment firm.

FS MVP Private Markets Fund launches.

Mountain climbers helping each other up to the peak

Our resources

FS Investments is committed to empowering our partners with the latest in alternatives education, investment research and value add programming.

Know your alternatives™

Know your alternatives is our full suite of educational resources for alternatives investing. Get up to speed on the essentials with strategic resources designed to fit advisor workflows.

> Get to know alternatives

Lara Rhame and Andrew Korz

Investment research

Our nationally recognized investment research experts offer insight and analysis on the latest in macroeconomic movements and key market trends.

> Access timely insights

Employees collaborating in a conference room

FS Thrive

FS Thrive is our value add program—a cutting-edge set of personal and business development solutions specifically designed to amplify impact for you, your team, your business and your community.

> Explore our value-add programs

Company

Meet our leadership team

Company

Learn about our culture and commitments

  • Total AUM estimated as of March 31, 2024. References to “assets under management” or “AUM” represent the assets managed by FS Investments or its strategic partners as to which FS Investments is entitled to receive a fee or carried interest (either currently or upon deployment of capital) and general partner capital. FS Investments calculates the amount of AUM as of any date as the sum of: (i) the fair value of the investments of FS Investments’ investment funds; (ii) uncalled capital commitments from these funds, including uncalled capital commitments from which FS Investments is currently not earning management fees or carried interest; (iii) the value of outstanding CLOs (excluding CLOs wholly-owned by FS Investments); (iv) the fair value of FS KKR Capital Corp. joint venture (JV) assets and FS Specialty Lending Fund JV assets; and (v) the fair value of other assets managed by FS Investments. The AUM also includes the estimated AUM of Portfolio Advisors, LLC as of March 31, 2024, which FS acquired through a merger on June 30, 2023. AUM for Portfolio Advisors, LLC is measured as adjusted reported value plus unfunded commitments. FS Investments’ calculation of AUM may differ from the calculations of other asset managers and, as a result, FS Investments’ measurements of its AUM may not be comparable to similar measures presented by other asset managers. FS Investments’ definition of AUM is not based on any definition of AUM that may be set forth in agreements governing the investment funds, vehicles or accounts that it manages and is not calculated pursuant to any regulatory definitions.

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