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MARKETS & SEGMENTS

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. 

PASSIVE DIRECT 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

ACTIVE INVESTMENTS 

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 under a fully regulated Asset Management purview domiciled in Switzerland. 

INVESTMENT MANAGEMENT 

With our Swiss Infrastructure markets integrating 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. 

CAPITAL MARKETS 

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. 

INTEGRATED CAPITAL ASSETS 

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

ADVISORY 

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  • Emmar has crossed over 5 Billion USD of Assets Under Advisement 

    Over 5 Billion

  • Emmar's Asset Building Structures have crossed over 1.5 Billion USD In Asset Developments

  • Emmar's committed infrastructure developments stand at over 500 Million USD in Equity Positions Globally. 

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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. 

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ORIGINS By Alpha is a specialised layer that issues Actively Managed Certificates & Funds specific to bespoke transaction needs. The Unit of operations allows for capital to be borrowed against collateral assets it manages and in turn invest in Anchor Positions with our In-house Hedge Fund Structure, Alpha Hedge. Origins also offers structured debt and investment solutions against a wide range of asset collaterals that range from securities of debt, equity/hybrids, land, yielding hard assets and portfolios, precious metals and other commodities of value that can be hosted as collaterals with its cash flow systems arising from the originated capital being deployed toward strategic anchor positions in yielding funds. Origins is structured as a Passive Indirect Investor. 

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Primary Hedge Fund investing as a Passive Direct Investor; The hedge fund structures are regulated through asset management supervisory through our in-house asset management company. The Funds are domiciled in Switzerland & Luxembourg and are structured for operations through a well modelled fund administration system and operative management on-boarded for specific transactional needs and managerial statutory. Alpha Hedge is capitalised by global debt & equity institutional investors. The funds and active managed certificates are designed to raise both debt & equity syndications for expansive downstream investments into our core domain areas managed by specialised private equity and hard-asset management companies. 

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Emmar Research, derived from the flagship banner, EMMAR; is a strategic and sophisticated domain private equity fund focused on Infrastructure & Industrial Assets. The flagship has over 400 turnkey capital assets established in critical industrial establishments across India, Africa, Europe & Asia. Emmar works with a global range of technologists, technical partnerships and operation-maintenance partnerships driven through its underlying portfolio company, RIEN FCA, which provides full service solutions in underwriting the performance of the downstream asset portfolios or assets we invest with. Emmar Research investments are based on critical market research driven selections, analysis and portfolio constructions that allow us to deploy Alpha Hedge Passive structures into Active modules for management and returns. 

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Wohlstand Switzerland is a specialised private equity fund structure designed to invest in the institutional finance industries. Spanning strategies of acquisitions of banks, asset management companies, prime brokerages and developments of our Greenfield banking institutions, Wohsltand is a core focused private equity fund developed to solely build our markets in the banking industry in Switzerland, Europe, North America and other parts of the world we find lucrative and sustainable. 

FIRST LINE

We partner with leading globally recognized institutions to research, evaluate, validate the feasibility of, and transact our capital deployments. Through these partnerships, Alpha 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. Alpha’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 Alpha’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 Alpha 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. 

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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

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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. 

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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. 

ACTIVE INVESTMENT STRATEGIES

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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.

STRUCTURED DEBT

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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. 

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INDUSTRY 

Describe the product here. Include important features, pricing and other relevant info. Consider adding an image or video of the product. 

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REAL ESTATE 

Describe the product here. Include important features, pricing and other relevant info. Consider adding an image or video of the product. 

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Asset Management
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Emmar Capital Corporation domiciled in Delaware, USA; with its primary operations in Newport Beach, LA; ECC is the Family Offices' global Management Company and Body Corporate. With the corporate structured as an Integrated Advisory & Investment Manager, Strategy Advisory to the Family Office International Business Interests, The Family Offices through its International Corporate Management Office [CMO], Emmar Capital Corporation, has structured its Swiss presence in establishing full purview Institutional Investment Platforms and Asset Management under the top banner, THE RAINMAKER. Emmar Capital Corporation has, on behalf of the Family Office Vision, invested in developing our Swiss Domicile for regulated Asset Management and Banking portfolio potential. The Swiss ventures expansions is structured through the Rainmaker Stock Corporation. 

Introduction

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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. 

MAJOR MARKET FOCUS

POWER GENERATION 

Renewable Power, Gas Based, Hydro Power Generation Plants and Units, Power Transmission & Distribution.

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ENERGY 

Upstream & Downstream Assets and Portfolios, Derivatives from the Energy Market Segments

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RAILWAYS

Core focus market space, Railway Industrial & Infrastructure asset developments, management and structured solutions 

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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. 

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