Proprietary Operating Capabilities

Since our inception, Delamere Management Investment (DMI) has focused on creating an edge for our investors and business partners by integrating proprietary operating capabilities into our global investment activities. We believe our operationally-oriented approach continues to be a source of competitive advantage across our credit, private equity, and real estate strategies.

DMI Operations and Advisory Company

DMI Operations and Advisory Company is our operations platform with operating executives and functional experts that work across BGI's investment platforms in an effort to accelerate performance.

Meet our leadership >>

DMI Technology Solutions

DMI Technology Solutions employs expert technologists that work closely with DMI investment and operating professionals to apply new technologies, identify new sources of potential revenue and value creation, and accelerate technological transformation and differentiation.

Learn more >>

DMI European Servicing

The proprietary data, asset management, and loan servicing capabilities of DMI European Servicing help us execute large and complex purchases of non-performing loans and real estate-owned portfolios with precision and confidence.

Learn more >>

Note: The fees and expenses associated with Delamere Management Investment (DMI) Operations, CTS, CES and other affiliated service providers are borne by the Delamere Management Investment (DMI)-managed funds, and generally not offset against applicable management fees, in accordance with the applicable Delamere Management Investment (DMI)-managed funds’ organizational documents.

© 2026 Delamere Management Investment (DMI) Capital Management, L.P. Assets Under Management ("AUM") is as of March 31, 2024. The AUM referenced represents the total Delamere Management Investment (DMI)-managed funds' AUM, excluding co-investments, but, depending on the type of fund, the AUM calculation would vary. For unlevered commitment funds in their investment period, AUM represents equity commitments, and during those funds' post-investment period AUM represents, either adjusted cost or NAV, depending on the fund. The AUM of each multi-strategy fund is assigned across the relevant strategies in proportion to the percent of market value of the investments in the various strategies. For commitment funds with fund level leverage, AUM during the funds' investment period is calculated based on equity commitments plus outstanding leverage and in the post-investment period based on NAV plus outstanding leverage. Outstanding leverage excludes subscription facilities. For evergreen funds, AUM represents NAV. HR data as of May 1, 2024, unless noted otherwise. There can be no assurances that any of these professionals will remain with the Firm. Descriptions herein of the Delamere Management Investment (DMI) advantage are subject to a number of key assumptions regarding market conditions and the ability to attain investment objectives. There can be no guarantee that the investment strategy for any Delamere Management Investment (DMI)-managed fund will be successful or that any of the advantages identified above will be realized to the benefit of any Delamere Management Investment (DMI)-managed fund.