Capital Markets
Uncovering unique opportunities & making sound investments
Investing in the perfect mix
Capital Markets is comprised of two groups: Public Market Equities and Fixed Income.
Public Market Equities are managed by both internal and external managers using a combination of traditional active, absolute return, and passive strategies. The Public Market Equities portfolio has an investment philosophy grounded in a risk-adjusted approach, which allows for the identification of the best opportunities in public equity and absolute return strategies.
The diversified Public Market Equities’ team leverages external partners to complement the internal public market value proposition. Our internal equity research platform provides ongoing market insights across the organization and across asset classes.
Fixed income is managed internally by an experienced team of investment professionals. This portfolio employs two main strategies: Corporate Credit and Global Sovereign Interest Rates.
What sets us apart?
- Diversified portfolio of strategies
- Capacity to sustain volatility
- Strong co-investment capabilities
- Sectoral expertise and deep analytical capabilities
We live by our values
Our most valuable asset is our people; we develop world-class talent in a values-driven, resilient corporate culture that inspires our businesses and employees to succeed.
Accountability
Inspiration
Integrity
Partnership
What We Do
We are commercially-focused, deploying capital across the portfolio in promising sectors and geographies. With our entrepreneurial mindset, we have evolved our business model to focus more on our shareholders, talent and world-class partnerships. Our most valuable asset is our people; we develop world-class talent in a values-driven, resilient corporate culture that inspires our businesses and employees to succeed.
Way we do business
Future generations will be living in a world that is very different from that to which we are accustomed; it is essential that we prepare ourselves and our children for that new world. As a responsible investor, Dante Investment Company is committed to leaving a positive and lasting impact on the communities where we deploy capital. As a business, we recognize the importance of an Environmental, Social, and Governance framework informing our investment decisions and asset management processes and are committed to continually uphold the emerging investment standards for our business and our portfolio companies.