Investment Focus

Equinox Investment Fund is dedicated to delivering long-term capital appreciation for its investors through a diversified, global investment approach.

Our strategy centers on direct and indirect investments in both listed and unlisted equity and debt securities, as well as related instruments such as convertible bonds and warrants. The Fund’s portfolio may include securities traded on major stock exchanges worldwide, as well as select opportunities in over-the-counter markets.

We seek to identify companies with strong growth potential and sound management, using a disciplined process that evaluates expected returns and future earnings potential. The Fund may also invest in American Depositary Receipts (ADRs), Global Depositary Receipts (GDRs), and, where appropriate, in unlisted securities, partnerships, joint ventures, or other non-corporate structures, subject to local regulations.

To enhance diversification and access to specialized opportunities, the Fund may allocate assets to other funds or investment vehicles, including fund-of-funds structures. These underlying investments may be managed by the Investment Manager or its affiliates, always in line with the Fund’s overall investment objectives.

Risk management is integral to our process. The Fund’s investment strategy is designed to balance the pursuit of attractive returns with prudent risk controls, recognizing that market conditions can change and that each share class may have a distinct risk profile.

Key Features

Global diversification across listed and unlisted securities

Flexible allocation to equity, debt, and related instruments

Access to emerging and developed markets

Use of fund-of-funds and special purpose vehicles where appropriate

Active risk management and ongoing portfolio monitoring