Global Alpha.

Regional Insight.

Institutional Precision.

Emit Capital Asset Management

Global Equities. Actively Managed. Risk Aware.

Emit Capital manages high-conviction global equity portfolios focused on the energy transition and AI-driven infrastructure super-cycle. Portfolios are actively risk-managed using derivatives, dynamic hedging and disciplined position sizing.

Investment Focus

Energy transition, electrification, AI infrastructure, grid modernisation and enabling technologies across global equity markets.

Portfolio Construction

Concentrated portfolios of 15–20 stocks, sized deliberately with an emphasis on liquidity, asymmetric returns and capital efficiency.

Risk Management

Active use of options, futures and volatility overlays to manage drawdowns, reduce tail risk and control regime-driven volatility.

Objective

Deliver consistent alpha through stock selection and disciplined risk control — not passive market exposure.

Recent Performance

November 2025 Portfolio Returns

November was characterised by higher bond yields, factor rotation within technology and increased cross-asset volatility. All portfolios remained actively risk-managed throughout the period.

Portfolio November 2025 2025 YTD
North American Portfolio -1.4% +53.5%
AI-Tech Portfolio -2.6% +30.4%
EU / UK Portfolio -2.0% +17.3%
Asia-Pac / Japan Portfolio -1.4% +7.6%
Short-term volatility was driven primarily by interest-rate sensitivity and equity factor rotation. Performance dispersion remains modest relative to full-year results, which continue to be led by the North American and AI-Tech strategies.
Return Comparison

2025 USD Returns – Ranked High to Low

Clear separation between Emit Capital’s alpha-driven strategy, public equity benchmarks and hedge fund returns.

Strategy / Asset Class 2025 Return (USD)
Emit Capital – North American Portfolio +62.0%
Nasdaq 100 +19.9%
S&P 500 +17.5%
Dow Jones Industrial Average +13.9%
HFRX Equity Hedge Index +9.5%
Citadel Global Equities Fund +8.3%
HFRX Global Hedge Fund Index +6.8%
Bitcoin -4.0%
Emit Capital’s North American strategy delivered more than 3× equity benchmark returns and 6–9× hedge fund performance, supporting the view that returns are driven by stock selection and portfolio construction — not passive beta.