top of page

MENU

pexels-erkamhayta-6460799_edited.jpg

INVESTMENTS & MANAGEMENT

MARKETS & SEGMENTS

PASSIVE DIRECT INVESTMENTS 

Driven by a global hedge strategy; capitalised by Institutional Investors our passive strategies invest in active domain investment funds, special purpose investment/acquisition companies under a multi strategy outlook. 

ACTIVE INVESTMENTS 

Investments driven with a core strategy of markets derived from Infrastructure, Industry & Specialised Real Estate; our Private Equity Distribution units are structured for active participation through our general partnership structure

INVESTMENT MANAGEMENT 

Our bespoke Fund structures & In-house infrastructure merged with our global underwriting and qualified investor base make us a unique and sophisticated manager of capital for both professional & institutional investors. Our structures are managed through a set of regulated bodies in partnership.  

CAPITAL MARKETS 

With our global Infrastructure markets integrating partners in para-banking, asset management, fund administration alongside our global underwriting partnerships allow us to provide a host of bespoke solutions and services in the global Capital Markets. 

INTEGRATED CAPITAL ASSETS 

With a vast history in developing and managing capital assets across the market spectrums of power, energy, railways, defence, aerospace, steel and other heavy industries, we have a full purview turnkey management for asset building and lifecycle management. 

ADVISORY 

Our advisory service is built around structured solutions to creating or originating tactical capital, repackaging, restructure & issuance management. 

GLOBAL INVESTMENT STRATEGIES

PRIVATE EQUITY

Our Private Equity Strategy is designed to invest in both asset levels and sub-holding or holding levels with underlying assets or portfolios. The Private Equity strategies allows us to access equity positions in holding companies and in asset junior tranches. 

SECURITIZED ASSETS

Synthetic Portfolio Issuances that derive cash flow systems to cater our investment modules from underlying portfolios of assets from the infrastructure, industry & real estate segments. 

HYBRIDS

Structured Investment Strategies that deploys capital into both Debt & Equity Positions, deriving both equity & debt linked cash flow systems to create an aggregated return model. 

MACRO OUTLAY

HARD ASSETS

Yielding Infrastructure, Industrial Assets & Portfolios; Hard Asset driven cash portfolios offer sustainability based on the asset public domain market strategies. These assets provide stability in terms of cash flows and valuations which are both derived on tangible basis. Hard Assets are a legacy institutional mindset and cater to an older and more robust school of thought with physical assets of land, plant & machinery combined with legacy driven technological and management institutions providing sustainability solutions and technical underwriting to performance which directly interlinks to credit risk management. 

DERIVATIVES 

Our derivative based strategies are also driven basis of underlying hard asset portfolios which allows us to stay clear of contemporary markets with intangible valuations and venture capital centric high risk processes. Our valuation modules are based on hard factual financial models that formulate returns from both equity linked and debt linked tranches. 

MANAGEMENT OF INVESTED PORTFOLIOS

While Asset Management is considered in the financial markets as institutional financial asset solutions; our in-house capacities to collaborate with the world's finest in developing and managing our tangible asset base is a unique feature that brings core competent domain expertise to the Investment Module. This gives our institutional investors with stringent asset performance and sustainability criterion being met with. 

FIRST LINE

We partner with leading globally recognized institutions to research, evaluate, validate the feasibility of, and transact our capital deployments. Through these partnerships, Emmar has created the most comprehensive means of identifying and mitigating instances of economic or financial loss allowing for the monetization of project risk (beta) and the contracting away of the risk exposures of our investors.

THE MACRO 

Discretionary
‒ Equity long/short ‒ Relative value
‒ Event-driven
‒ Global macro 

 

Systematic
‒ Managed futures/commodity trading advisors
(“CTAs”)
‒ Quantitative equity 

BASIC IDEOLOGY

Investing based on downstream strategies being managed by sophisticated private equity & alternative investment funds that have an active direct approach & in-house corporate bodies developed and owned by the consolidated umbrella, allows us to approach each offering with a tailor made approach. 

ASSET BACKED

Designed to create a large target space in the markets of Asset Backed Securities & Sub-sets of the ABS Markets. These financing vehicles collateralised by contracts on future cash flows derived from a larger market spectrum of Infrastructure, Industry,    Estate alongside Institutional Pools such as Loan pools, Credit Card Receivables and other such Institutional Cash Flow Systems. 

 

Asset-backed securities are complex investments and not suitable for all investors because these instruments are subject to many risks, including credit, liquidity, interest rate, and valuation risk. Emmar’s unique space in this market is driven by our large network of capital market partners who are extremely informed and sophisticated investors in this market space and work in tandem structures with Emmar's offerings in the market. This gives us an edge and the usage of proprietary underwriting modules that positions us in a league of our own. With our global underwriters having completed over 7 Billion USD of complex securitised transactions and over 2 Billion in structured financings; we host a strong global team of partnerships that puts Emmar as a specialised market investor.

CRITICAL EQUITY 

Downstream Investment and Acquisition Platforms follow multiple strategies of Leveraged Buy Outs, Creeping Acquisitions, Strategic Holding Positions and other tailor made structures in their investment modelling. Critical positioning is defined as the first layers of Equity holding to be created to allow for control structures on underlying assets or portfolios to ensure seamless transitions and take overs. 

STRUCTURED PRODUCTS

Designed to invest in asset backed structures that encompass the assets, portfolios; cash flow systems and free cash flow to equities; Structured Products allow us to invest based on underlying portfolios to be constructed based on asset class, asset valuations and cash flow systems.

BUY OUTS

Structured investments to create strategic private equity positions that we believe can be served better under our thought process, ideology & vision and engagement of our portfolio corporations and fund structures. 

CARVEOUTS 

Structured approach to de-linking assets from corporate holdings and segregation of cash flow systems to create strategic liquidity for growth to corporations, public bodies and sovereigns. 

MERGERS & ACQUISITIONS [CORPORATIONS]

Strategic acquisitions that lead to in-organic growth modules within our ideology base and transitions. 

bg100.png

HEDGE STRATEGIES

Emmar has established its global presence in providing a unique business corporation that integrates Investments, Investment Management, Asset Management & Domain Development Modules. 

01

PASSIVE DIRECT INVESTMENTS

Driven by our Hedge structure & multi strategy outlook; Passive Investment Schedules allow us to originate capital based on underlying Active Investment Strategies & Strategic Market Positions in debt, equity & hybrids. 

people-wait-at-a-subway-station-in-kiev-AAJ9EXR_edited.jpg

02

ACTIVE INVESTMENT STRATEGIES

Driven by our Alternative Investment Funds & Private Equity Strategies; capitalised by our hedge funds; our strategies extend to underlying mergers & acquisitions, leveraged buy-outs and other tactical positions across a wide spectrum of asset classes. 

Image by Josh Hild

03

STRUCTURED DEBT

Our structured debt programs are managed under the hedge fund umbrella and caters to Institutional and Corporate credit and debt based on underlying assets, futures and options. Our debt structures extend to Sovereign, Public Companies & Private Corporate entities.

Image by Anders Jildén

DOMAIN 

INFRASTRUCTURE 

Hard Asset driven institutional investment module that allows us to create annuity income potential by strategic investments into our development arms or into our yield company verticals to create well defined holding positions of private equity or listed equity stakes to create annuity income from equity linked returns. Infrastructure formulates the largest market space ideology for our in-house growth strategies. 

beautiful-shot-of-windmills-in-an-agricultural-fie-2025-02-11-18-03-22-utc_edited.jpg

INDUSTRY 

Industry is a critical economic growth factor and provides valuable employment structures for global Governments. Large Scale institutional structures allow us to focus on sophisticated industrial conglomerates worldwide. Industrial investments are secure and risk management is poised for well defined credit risk modules to be incorporated. 

pexels-photo-1716008_edited.jpg

REAL ESTATE 

An active investment area for the Emmar banner; Real Estate investments provide us with strategic entry into a wide stream of market potential spanning joint ventures, collaborative consortiums leading us into the markets of healthcare, luxury hospitality, farmsciences and other major potential in the global market space. 

abstract-blurred-background-of-night-cityscape-2021-08-26-17-17-49-utc_edited.jpg
Industry_edited.jpg

ASSET SUSTAINABILTY

Investing in core assets that involve infrastructure, industry & real estate brings a high level of security for global institutional investors. With our in-house modules allowing us to work with global leaders in technology and asset maintenance; our investments are driven based on market volatility understandings alongside the key factors to long term assets, that, with the right management modules can deliver a stringent annuity model. Our investments host in-house on ground tangible Asset Management solutions that allow us to underwrite the risks of performance of assets, geo political risks based on a varied domicile spectrum, manage the revenue generation through the angle of asset performance and output requirements. By bringing together world leaders in hard asset management; we are able to structure and develop sophisticated asset blocks and portfolios that provide strong brand support and management structures. 

people moves.png

ASSET BUILDING

The core aim of Emmar Capital Corporation is to achieve net asset valuations to its downstream core focused verticals. Hard Assets of Infrastructure, Industry & Real Estate are legacy businesses that offer security and growth which is sustainable, scalable and assets that can be underwritten to performance & credit risk. The base ideology of our family offices is to achieve a strong asset base in a select segmentation of markets with our core knowledge base being able to be utilised for annuity return potential. 

EMMAR RESEARCH

Providing flexible access to our sell side markets of corporates, private bodies, public & government systems with sophisticated asset backed financial markets. Driven by Actively Managed Certificates, Qualified Funds under respective verticals, credit is structured toward our in-house & open market structures that host equity, debt or hybrid linked return potential. 

With rigorous underwriting & structured products that are backed by liquid default management & credit risk management systems; our credit solutions are driven towards scalable models of levered returns and portfolio constructs. 

View

CREDIT MARKETS

2025

pexels-duophenom-1238259-2414930.jpg

Dominantly Focused on private equity strategies providing access to well analysed and underwritten projects, assets; our Equity strategy is driven towards levered/unlevered developments of long term infrastructure/industry/real estate assets, Mergers & Acquisitions of strategic positions with leading corporates or accessing direct assets for establishing our growth segment modules in the Equity or Equity Linked return markets. 

Our stringent underwriting models are deployed to underwrite and manage, in the above mentioned segments, brings our fund structures to invest flexibly in downstream equity, preferred equity or converted strategies. 

View

EQUITY MARKETS

2025

car-light-trails-2023-11-27-04-55-57-utc_edited.jpg

Infrastructure assets, Industrial Assets, Real Estate Assets; our ideology and primary focus in these markets allow us to create tangible sources of future derivatives and yielding asset potential. With downstream levered or equity modelled assets offer us sophisticated cash flow statements. 

With sustainability underwriting and Treasury Underwriting formulating our master risk policy; our investment strategies provide Institutional Investors with access to emerging market trends that can envelope and manage a host of independent and portfolio assets. 

View

REAL ASSETS 

2025

bottom of page