Investment Philosophy

Mesarete Capital’s aim is to seek positive risk adjusted returns for our investors; partnering with them sits at the heart of what we do. Our CIO has over 25 years’ experience investing across various market conditions. We are continually aware that investments carry a high degree of risk and past results are not necessarily indicative of future results and our investment thesis is accordingly supported by an active risk management strategy that focuses on diversification, liquidity & capital protection.


Our rigorous and honed investment process has been developed over many years enabling us to build long term relationships with issuers of debt capital as strong partners to them across the entire credit cycle. Transparency and trust are key behaviours that underpin our relationship management and style of investing.