CIG’s Capital Markets division oversees an investment portfolio of nearly $1 billion dollars. We invest across the asset class spectrum to build an investment portfolio which consistently generates superior risk adjusted returns over long term time horizons.
Investments include direct and indirect investments in two focused asset classes:
CIG takes an opportunistic approach to public securities investing, applying value-oriented, bottoms-up fundamental analysis to its security selection process. The team invests globally and looks to find under-valued stocks growing faster than the broader market, and looks to identify catalysts to generate superior returns.
CIG has developed relationships with the world's leading investment managers. Manager strategies include long only equities, long/short equities, multi-strategy, global macro, event-driven, distressed private equity and venture capital.