Global Opportunities Portfolio • Separately Managed Account (SMA) • Wholesale & Sophisticated Investors Only

Global Opportunities Portfolio – March 2026

Global energy transition & AI-infrastructure winners. Active risk control.

High-conviction exposure to global listed equities across North America, Europe/UK and Asia-Pac/Japan, designed to participate in upside while actively managing downside risk across market regimes. The portfolio targets companies enabling electrification, grid build-out, clean power and AI-infrastructure supply chains — with tactical hedging and cash overlays to manage drawdowns.

Reporting currency

Global Opportunities Portfolio — SMA Facts

Name
Emit Capital Global Opportunities Portfolio
Structure
Separately Managed Account (SMA)
Investor Type
Wholesale
Asset Class
Global Listed Equities
Regions
North America • Europe/UK • Asia-Pac/Japan
Strategy Inception
TBD
Number of Holdings
15–30
Cash Range
5–20%
Minimum Initial Investment
A$100,000
Pricing
Daily
Prime Broker
Interactive Brokers (IBKR)

SMA Summary

  • Strategy objective: Global long-only equities with active risk management overlay
  • Benchmark: MSCI ACWI (or custom blended benchmark) — update as required
  • Currency exposure: AUD & USD reporting available
  • Risk management: Index hedging, options overlays, tactical cash, regional tilt
  • Suitable investors: Wholesale & sophisticated investors seeking long-term capital growth
Positioning Notes
Built for an environment where electrification, grid build-out and AI-infrastructure capex can drive outsized winners — while rates, USD and liquidity can reprice risk quickly.
Risk
Factor crowding / valuation compression in high-quality growth; index drawdowns can dominate stock selection short-term.
Opportunity
Power + network bottlenecks and AI supply-chain expansion support selective industrials, utilities and enablers globally.

Performance

Monthly NAV (base = 100,000). Hover to inspect.
AUD: Global Opportunities Portfolio vs MSCI ACWI (base value series).
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Returns

At 31 Mar 2026
Series 1mth 3mth 6mth 1yr 2yr 5yr SI p.a SI
Benchmark note: Choose one benchmark set and keep it consistent. Performance should include realised/unrealised P&L, dividends, interest, and reinvestment of income. Individual account performance may vary due to fees, timing, and allocation differences.
Information presented on this site is intended only for general information purposes and has been prepared without taking into account investors' objectives, financial situation, or needs. Before making an investment decision investors should obtain professional advice and consider whether the information contained herein is appropriate having regard to their objectives, financial situation and needs. As with all investments, there is a risk that the investment may lose value.