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ABOUT US
What Sets Us Apart
ALPHA is a stock corporation with a management structure domiciled out of Switzerland and Luxembourg respectively. Alpha is designed to promote and manage Emmar's Investments globally in developing our asset holdings worldwide. The Rainmaker manages the business model through a structured Hedge to Private Equity strategy with investments catering the development of assets through Greenfield and Acquisition modules. The organic and in-organic tandem template allows our funds to present sophisticated returns with a stringent credit risk management incorporated at the core of investment strategies adopted.
The Alpha vertical allows us to segregate our primary business from complimenting verticals of Asset Management, Advisory, Investment Banking and Banking to be autonomously performing under compartmentalised management modules. The diversification of risks of the business stage allows us to present a stable management capacity to global institutional & qualified investors and sell side markets simultaneously.
The vertically drafted architecture of the company prevents bankruptcy risks, allows for strategic divestments at various growth stages for recapitalisation potential and other managerial capacities to be driven into core focus and domain markets.

STATE OF ALPHA
INVESTMENT MANAGEMENT & DIRECT SOLUTIONS
The State Of Alpha [Alpha Statum] is our core passive direct investment arm focused on investing in and holding strategic positions with our active portfolio downstream potential. Our investments drive institutional developments, capital market solutions, mergers & acquisitions, merchant trading across various market spectrums globally.


RESEARCH BASED
HEDGE STRATEGY
Investing in global market potential derived from infrastructure and industrial assets, portfolios; our private equity strategy follows a hedge model by investing through active direct funds and compartments with a domain focus initiative.


CAPITAL MARKETS
PRIVATE MARKETS

A strategic acquisition that has given us a major market space in prime brokerage for secondary market potential and private transactions worldwide.

AEQUITATE
MERCHANT AND TRADE CAPITAL
Strategic Merchant Trade vehicle focused on Minerals, Metals, Oil & Gas, Food Products and other general commodities worldwide. Aequitate is a global merchant trading and trade capital arm operating from London, United Kingdom.


OBJECTIVE
Our objectives are designed to serve both private and sovereign market opportunities. Managing institutional investors, Alpha offers no retail solutions. The key implementation lies in developing global mid and large cap businesses with access to alternative capital, alternative investment strategies and development and management support to create aggressive traction in the market segments. We are committed to having a positive influence on corporates and sovereign market requirements by creating robust bridges to access alternative capital markets. Our module allows for our institutional investors to gain access to well defined and controlled ecosystems of investments that allow for highest levels of risk mitigation, sustainability and strengthened lifecycle management.
Driven by Origins, we offer a complete suit of bespoke products in financial solutions, direct lending and strategic asset management KNOW MORE
The primary play in the Rainmaker banner driven institutions is to create global strategic positions of private equity with leading asset managers, developers & concessionaires feeding derivatives from the Infrastructure, Industry & Real Estate Markets. KNOW MORE
Our domain driven investment modules are initiated to create hard asset portfolios and constructs for sustained annuity and expansive scalability. KNOW MORE

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.
CREDIT MARKETS
2025

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.
EQUITY MARKETS
2025

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.
REAL ASSETS
2025
GLOBAL INVESTMENT STRATEGIES
While we host a structured approach to deploy capital; our downstream strategies remain structured to cater the wholistic return base of the corporation.
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
An overview outlook into the markets of interest, macro segments.
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.

HEDGE STRATEGIES
Emmar has established its global presence in providing a unique business corporation that integrates Investments, Investment Management, Asset Management, Banking & Domain Development modules. The structures are run by our Swiss Stock Corporation, The Rainmaker
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.

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.

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.

CORE MODULES
The Asset Management is pledged to put its Client's first in providing state of the art products and solutions to raising alternative capital & providing fiduciary solutions
Alpha by Emmar is a unique combination of products and services all offered under one umbrella. With both sell & buy side solutions; the Asset Management is dedicated to providing unique financial solutions across a wide market spectrum

Metrics and Goals
Alphahosts a wide array of products, services and solutions offered to both buy & sell side markets. While dominantly focused on providing services to the sell side and our structured approach to the buy sides; Alpha brings a tailor made market space regulated through its funds and white label offerings. Alpha downstream Asset Management delivers a large solution base for both liquid & illiquid assets. Delivering tactical solutions to capitalise assets and repackaging portfolios, listings and private placements; the Asset Management strategy is geared for accessing the capital markets.
01
Sustainability
Global investments and investors are constantly looking to creating avenues of risk managed investments and growth with sustainability and comprehensive asset management that leads beyond the walls of finance and high down to the assets that formulate the portfolio of investments that derive the requisite revenue potentials.

02
Global Growth
It is imperative for the asset management strategies to design its investments around the ever growing ecosystems that lead to multiple impacts of varying nature across the market spectrums. Our investments are driven with a social and economic purview being kept in mind and our institutional drives are based on impacts being created in the space of employment, generic growth of the public sectors

03
Research
Industrial and Infrastructure growth alongside other markets are driven by well defined management, administration and close grip monitoring of assets and their performance. This spans revenue shortfall management, sustained operations, optimised Human Resources that drive our inner research structures to define the investments and placements.

04
Alternative Markets
Providing our Institutional Investors with strong instrumentation and underlying credit risk managed derivative structures offers a large alternative market for the investors to creating risk managed portfolios with

05
Community Impact
Investments and solutions driven to creating impact markets across the market spectrum of choice; Alpha is designed to market a wide range of highly sophisticated products that define investments with social impacts
