Partner
Ygal is the Managing Partner of ASG Bridge. He is in charge of Portfolio Management and is an active member of the Credit Committee.
Ygal founded ASG Capital in July 2008 in Miami. Prior to this, Ygal spent over twelve years at various Wall Street firms including Prudential Securities (Senior Vice President- Investments), Wells Fargo Securities (Director-Investments), and Jefferies Inc. (Senior Vice President Investments.
Partner
Steven Groslin joined ASG Capital in January 2014. Prior to this, Steven spent over thirteen years trading Fixed Income for the Natixis Group in Paris. Before joining Natixis Steven worked for six years in Fixed Income lending in Paris and five years in Retail Banking in France and the UK. Steven Groslin has a Bachelor Degree in European Accounting and Finance from Leeds Metropolitan University (UK) and LeHavre/Caen Business School (France).
Financial Analyst
Fabien is responsible for deal origination, underwriting and execution at ASG Bridge.
Prior to join ASG Capital, he has worked for eight years in various accounting positions within large shipping groups such as Eltvedt & O’Sullivan, Unilex Maritime and CMA-CGM and has exercised his professional activities in Europe and Africa. Fabien has a bachelor’s degree in accounting from Salon-de-Provence school.
Marketing & Business Development
Caroline joined ASG Bridge as in charge of International Business Development.
Prior to ASG, Caroline worked over six years at Jade Associates, a US CPA Firm based in Miami, in charge of Accounting and Taxes for Individuals and International Corporations.
Caroline has a Bachelor Degree in French Accounting and Finance in Paris, France (DECF), studying at Ecole Supérieure de Gestion et d’Expertise Comptable (CPA AND FINANCE SCHOOL).
Legal Counsel
Daniel is the In-House Counsel for ASG Bridge. He is in charge of overseeing all legal aspects of ASG Bridge’s transactions.
Daniel’s real estate experience extends over 10 years. Prior to joining ASG Bridge, he worked as a transaction real estate attorney on a wide array of transaction types, notably, representing both Lenders and Borrowers on diverse types of loans. In 2021, Daniel began working as In-House Counsel and Restructuring Associate for a real estate holdings company based in Brooklyn and assisted with the successful recapitalization and restructuring of the company whose assets exceeded $1 billion. In addition to his work with ASG Bridge, Daniel now provides restructuring services to real estate companies across the country. Daniel obtained his Juris Doctor from New York Law School in 2016 and is a member of the New York and New Jersey Bars.
Legal Counsel
Jonathan is the legal counsel for the ASG Prime Private Lending Fund I and advises on the structuring of Club Deals for ASG Bridge’s Non-US investors. He is the founding partner of Lextrust Law Firm, a Luxembourg-based business law firm specialised in investment funds, private equity and structured finance. He advises fund managers, institutional investors and wealthy families on fund structuring and international tax matters.
Before founding Lextrust in 2015, he co-founded LexField in 2009, which later became part of Mourant in 2023. He previously worked at Clifford Chance and PwC Luxembourg, gaining extensive experience in investment funds, corporate law and cross-border taxation.
Jonathan is a graduate of the London School of Economics and Political Science (LSE), where he completed an Executive Certificate in the Law & Economics of M&A. He also holds a PhD (Doctorat en droit privé) from Université Nancy 2, a postgraduate degree (D.E.A.) in Tax Law, and a Master’s degree in Business and Tax Law (Maîtrise en droit des affaires et fiscalité) from Université Paris-Panthéon-Assas.
Chief Compliance Consultant
Steve is in charge of the compliance at ASG Bridge.
Previously, he was for 8 years the Chief Compliance Examiner for the South Dakota State Securities Division and was for 4 years Director of Compliance Services for RIA in a Box /Lexington Compliance. SGL Financial, LLC lured Steve away from Lexington in July of 2014 to provide Chief Compliance and Chief Operations Officer duties. Mr. Thomas now also provides dedicated and specialized compliance services to a limited number of state and SEC registered investment advisory firms through Thomas RIA Compliance, LLC.