Fexinc Fortune Capital

Global Investment & Asset Management

Investing across public markets, private markets, real estate, infrastructure and digital assets on behalf of sovereign allocators, pension funds and family offices worldwide.

Fexinc Fortune Capital
Assets Under Management
$0.0B
Countries Served
0
Years of Experience
0
Market IntelligenceLive
Multiasset AUM$0.0B
Active Mandates0
Countries0
Strategic Allocation
  • Public Markets36%
  • Fixed Income29%
  • Private Credit18%
  • Digital Assets9%
  • Cash & Equivalents8%
Company Introduction

A global partner for institutional capital.

Fexinc Fortune Capital manages long-term value across public markets, private credit, real assets and the digital economy. We serve sovereign funds, pension plans, family offices and endowments from offices in London, New York, Zurich and Singapore.

Founded
1988
Multi-decade track record
AUM
$142.4B
Assets under management
Employees
520+
Investment & operations
Offices
4
London · New York · Zurich · Singapore
Assets Under Management$0.0B
Institutional Clients0+
Countries Served0
Institutional Investors0+
10-Yr Annualized Return0.0%
Years of Experience0
Investment Platforms

Diversified capital across every major asset class.

View all solutions
01

Real Estate

Prime commercial, logistics and residential holdings across G20 markets.

Assets Managed
$28.6B
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02

Global Equities

Long-term equity strategies across developed and emerging markets.

Assets Managed
$41.2B
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03

Fixed Income

Sovereign, corporate and structured credit across the yield curve.

Assets Managed
$34.5B
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04

Private Credit

Direct lending and specialty finance for middle-market issuers.

Assets Managed
$18.9B
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05

Digital Assets

Institutional-grade exposure to the tokenized global economy.

Assets Managed
$6.4B
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06

Infrastructure

Long-cycle capital deployed into transport, digital and utility assets.

Assets Managed
$9.8B
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07

Energy

Traditional and renewable generation across the energy transition.

Assets Managed
$7.1B
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08

Precious Metals

Physical and derivative exposure across gold, silver and platinum.

Assets Managed
$3.2B
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Portfolio Overview

A measured view of global allocation.

Every mandate is constructed from disciplined, research-driven exposure across public and private markets — with continuous monitoring of risk, liquidity and correlation.

Composite Performance · Indexed 100
207.4+14.2% 10-Yr
Public Markets
36%
Fixed Income
29%
Private Credit
18%
Digital Assets
9%
Cash & Equivalents
8%
Governance & Philosophy

The principles that govern every mandate.

Fiduciary Discipline

Every mandate is governed by a documented investment policy and independent oversight.

Risk Management

Portfolio construction anchored by scenario testing, liquidity monitoring and drawdown controls.

Transparency

Institutional reporting on positioning, attribution and fees, delivered on a monthly cadence.

Long-Term Horizon

Capital allocated across full market cycles, not calendar quarters.

Global Diversification

Exposure engineered across geographies, sectors and asset classes.

Why Fexinc

Engineered for the long horizon.

Fexinc Fortune Capital is built for allocators who measure success in decades, not quarters. Our capital, research, and infrastructure are organized around a single premise — durable compounding through disciplined global allocation.

  • Multi-jurisdictional oversightLondon · New York · Zurich · Singapore
  • Independent research floor220+ analysts across nine sectors
  • Institutional infrastructureCustody, reporting and audit at scale
  • Aligned economicsPrincipal capital co-invested in every strategy
Sculptural gold and navy monument representing Fexinc Fortune Capital's disciplined architecture
Est. 1988
Fexinc Fortune Capital
Global Reach
42 Countries
Global Presence

Four hubs. One global mandate.

London

Global Headquarters

120 Fenchurch Street, EC3M 5BA

GMT

New York

Americas Hub

767 Fifth Avenue, NY 10153

EST

Zurich

European Wealth Center

Bahnhofstrasse 42, 8001

CET

Singapore

Asia-Pacific Gateway

One Raffles Quay, 048583

SGT

Research

Quarterly Insights

Institutional briefings on market structure, macro flows, and capital allocation.

View Research Library
Macro Strategy

Navigating mid-cycle volatility: the return of real rates

Energy Infrastructure

Decarbonization as a structural alpha driver