Equine Capital Partners is a deep value investor in Global Equities and Fixed Income with a currently committed inflation focus and a long-term investment horizon. Using both quantitative and qualitative means, we conduct extensive fundamental research to construct an optimised portfolio, set to deliver exceptional risk-adjusted capital growth to our clients.
Our core values include openness, hard work, meticulousness and independent thinking. Developing transparent and truthful relationships with our clients and business partners is an integral part of our work philosophy.
We invest via Equine Capital Partners, which is an investment compartment of Equine Capital Partners V.C.I.C RAIF plc. Equine Capital Partners V.C.I.C RAIF plc is a limited liability company, registered in the Republic of Cyprus (Company Registration Number HE436302). It is further registered by the Cyprus Securities and Exchange Commission(“CySEC”) as a Registered Alternative Investment Fund (CySEC Registration Number RAIF 119).
Equine Capital Partners is externally managed by Mega Ploutos Fund Management Ltd, a private company limited by shares under the Companies Law, CAP. 113 on 11th December 2021, with registration number HE428838, and registered address 40 Themistokli Dervi, 3rd floor, flat/office 301, 1066, Nicosia, Cyprus. Mega Ploutos Fund Management was granted authorisation with number AIFM52/56/2013 and is regulated and supervised, by CySEC to operate as an Alternative Investment Fund Manager (‘AIFM’) in accordance to the provisions of the Alternative Investment Funds Managers’ Law of 2013 (Law 56(l)/2013, hereafter the ‘AIFM Law’), as amended from time to time.
Equine Capital Partners acts in compliance with the ESMA and CySEC regulations and works only with professional and well-informed investors.
Our Investment Philosophy is clear, consistent, and transparent to our investors. We believe that financial instruments sometimes trade at a discount to their intrinsic value due to the market’s inability to fully price in various endogenous and exogenous variables.
We use fundamental research to identify these opportunities within the world of equities and construct the portfolio optimally using quantitative tools. We invest in businesses with strong earnings and concrete balance sheets, that can be bought cheaply due to these market dislocations.
We have a long-term investment horizon and do not engage in opportunistic trades. Even though we believe our preferred companies will outperform their industry and market peers, we invest long-only. In some cases, we have a highly concentrated portfolio to maximise alpha.
We use a plethora of both portfolio-level and stock-level risk management techniques to build and maintain a sustainable risk profile. We employ both quantitative and qualitative tools of risk management to have a holistic view on exposures.
Further, we engage in constant and vigorous assimilation of global macro events, data releases and other developments so as to have a thoroughly updated understanding of the macro environment.
Due to the long-term, fundamental, value-oriented nature of our investments, we are a long-only fund that uses no or little leverage.
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