Transforming financial insights into actionable strategies
Fund Composition
A balanced mix of global equities, fixed income securities, and strategic alternative investments, carefully selected to optimize risk-adjusted returns and maintain portfolio diversification across multiple market sectors and geographical regions.
Investment Management
Custom made investment policy
Co-investment capacity to participate with the client
No restrictions about the asset class
Multi asset experience (private and public debt, emerging and developed markets, lately focused on commodities, property and infrastructure)
Capacity to arrange financing on the fund level
Capacity to work independently or in cooperation with the investor on specific fund’s investments
Relationships with best in class
Structuring & Governance
Custom made private fund structuring, regulated by DFSA as a Qualified Investors Fund
Fast to the market in a few weeks to a month
Governance of the fund in conjunction with the investor
Investor can require to keep absolute control of the structure and the assets
Protection of assets and investors interests
Best in class service providers (administrators, auditors …)
Blue chip banking relationships for the fund/investors’ assets
Support with the KYC and onboarding
Past Multi-Asset Investments
Short term Energy trading debt financing
Short term Coal trading debt financing
Short term UK SME invoice factoring & working capital debt financing
Development property financing, debt, luxury lake resort in Italy
UK student accommodation equity
Japan multi-family residential property equity
London residential property equity
Pre IPO, US biotech venture equity
Equity in vertical farming in UAE
These investments are subject to client preferences and risk appetite