INSTITUTIONAL INVESTMENTS

A X O N  C A P I T A L

ACTIVE

Active Direct Investors

Focused on an institutional base of investors; AXCAP provides a bespoke platform of investing and structured management schedules. Offering a well defined fund obligation which is issued through a regulated specialised asset management module; Ax' employs major IPA and External Asset Managers to regulate our core markets of Equity Long Strategies. With a full range of issuance and active fund administration partners; AX' hosts a full range of underwriters who eliminate the risks of markets and capital spectrums. AX' issuances are investment grade and captures credit default management alongside a sophisticated technical management division working with global technologists keeping up to date on the latest infrastructure technologies. 

PASSIVE

Passive Strategies

Investing in equity linked securities; AX' hosts a structured program to invest in outside funds as a part of our bar mitigation layouts to ensure risk is spread amongst a larger cash flow base of assets under management. 

While most of our capital is deployed in acquiring and managing assets all the way through to Infrastructure And Real Estate assets and the underwriting conducted in multi layers of revenue management and default eliminations. Our research and analysis is conducted with a sophisticated system of understanding the asset base and employing the best in class managers to provide AX' with all requisite underpinned guarantees. 

HERITAGE

Re-Investments

The Family Re-Invests through a discretionary trust in an Impact Strategy and Venture Philanthropy as our core ideology. The Company focuses on Luxury Businesses alongside supporting Mid Age firms in re-developing and adapting to the new age of bullish investment strategies. Most Mid Age firms and luxury businesses focus on a legacy management system. While old-school in thought processes; the best in class assets are built on a stable foundation. The Family Discretionary Trust shall invest through Regulated Systems of Fund Management and will employ a high level of sophisticated Human Resource from various market spectrums. 

Building Infrastructure markets is a collective effort of multiple experts working in tandem agreements. The same concept lies to the investor base who look to creating a fixed income portfolio from the Infrastructure Markets.  

The key to successful investing is to be able to have a tangible module to view and work with the infrastructure base presented by the markets. 

Accessing good deal flow is one aspect; accessing deals and having the clarity of understanding the wholistic approach to the actual asset management schedule is far more critical. AX' provides the future of investing; no management fees; fund deployments on a portfolio base; access to selection and elimination of asset base structures; personnel bridges created to work in tandem with the technological and financial underwriting partners; AX' is a futuristic approach to a currently stagnating market. The approach gives an umbrella to Developers Private Equity, Financial Institutions with a solution to recapialise, recover or simply build. 

AXCAP

AXON CAPITAL MARKETS

Fully owned by Madabushi Narayanan Gosakan; managed under the umbrella of Emmar Family Offices; AXCAP is a fund of hedge funds; regulated and managed under the norms of the European Union. 

 

Axon Capital is the holding company of its fully owned fund RIDGELINE CORPORATION, investing in equity long strategies. RIDGELINE is a structured platform that issues a proprietary hybrid note offering a collateralised fund obligation to AXCAP. 

 

AX’ is capitalised by a syndicate of global institutional investor base against securitised bonds & hybrid securities issued capturing a bespoke tranched opportunity. Fully risk managed under a sophisticated underwriting partnership base; AX’ is a new generation hedge fund that caters the debt capital markets globally. Institutional investors are protected from a waterfall of risk leading to the underlying asset. 

 

AX’ defines the next generation in investing tech and management. With no fees charged to our investor base; AX’ dons the role of being an active direct investor and manage structured through its RIDGELINE funds; Investors seeking transparency, security and sustainable yields and revenue guarantees; the platform provides a wholistic return base. 

 

AX’ deploys with a range of global institutional partners, a full spectrum of commercial banking lines, insurance, re-insurance, captives, structured credit, MLPs, regulatory arbs as well as derivatives and hedge; layered together forming a comprehensive approach for short, long strategies and returns. 

 

Ax’ investment risks are fully underwritten including default risks of payments and revenues. Working with strategic partners; global leaders in risk management & underwriting; the Ax’ approach is to mitigate and manage the waterfall of its invested portfolios. Employing an expansive range of global technologists, managers and underwriters; AXCAP ensures a full service solution to de-risk our institutional investors. 

 

Ax’ market strategies are based on staying invested with options to repackage and re-position on the capital initiatives. 

 

Ax’ risks are positioned on global trade platforms in conjunction with our syndicate of underwriters. 

 

RIDGE

RIDGELINE INVESTMENT MANAGEMENT

AXCAP’s fund and manager; RIDGE provides the Axon investments with a strong base of management schedule. 

 

With a full range of highly skilled human resource base; domiciled in London [UK], Canada & India; RIDGELINE hedges the risks of AX’ investments through a strong management and underwriting schedule. 

 

Helmed by a Head of Investments; RIDGELINE hosts a wholistic corporate base providing AXCAP with requisite underwriting and management. 

 

Ridgeline is an umbrella fund with a multi-domicile approach in the EU and the UK. 

 

The funds typically provide AXCAP with asset backed securities and equity linked underlying derivatives to acquire through a Master Limited Partnership. 

 

RIDGELINE devolution is mainly focused in the acquisition of long term infrastructure assets in power, energy alongside a strong hold market space in real estate. 

 

Focused in the emerging and developing markets; RIDGELINE hosts full capacities to cater a global scale of operations. 

Ridgeline hosts an equity long strategy; investing in both real estate and infrastructure market segments; Ridge employs both a top-down and bottom-up approach  in its positions globally. 

Ridgeline's core is in providing its investors with a secure market environment; risk analysis, risk management employed with global investment grade underwriting institutions; Investors can rest assured on the management base created on a bespoke platform. 

Ridgeline hosts a full service structure of employment including and not restructured to Book Runners, IPAs, Bond Managers, Legal Teams and Institutional Auditing and Asset Management. Vertically integrated in the asset management space; RIDGE provides hard asset management as a part of its investment management structure. 

AXCAP UNDERWRITING PARTNERS

AX' UNDERWRITING

A global partner base to determine the best strategy and portfolio mix from traditional reinsurance vehicles to the full range of capital market solutions that AX’ needs to protect and manage its investor base. 

 

AXCAP underwriting partners’ extensive expertise in working collaboratively with its clients to develop sophisticated risk solutions. Range from strategic investment risk management through to practical implementation of investment strategies supplemented by transparent risk reporting and expertise. By combining these two capital management tools and disciplines, the potential to unlock hidden value from diversification is increased, as well as achieving greater absolute returns through optimized risk management.

 

Our partners deliver risk transfer innovations to efficiently meet our challenges. Their professionals continuously monitor client feedback and market conditions, then develop integrated solutions that combine leading-edge analytics knowledge with the expertise of global broking specialists. 

 

Individual rating agencies respond to different factors. What matters changes with economic, political, and market shifts – as well as with the performance and capital structures of the companies being rated. AX’ partners provide us with a wide range of handholding techniques and management to create and manage a purview to the regulators. 

Underwriting is based on the underpinning assets being fully risk mitigated through a wholistic approach of development - management and operations. 

AX' provides its global underwriting base with a performance driven guarantee structure that enables us achieve highly competitive rates in the structured finance market space. 

AX' is governed by the process of underwriting more so than the IRR base. The returns to debt institutional partners is pegged for higher than standard market rates, investment grade resolutions and a deep insight on the actual assets the devolution is catered to. 

A major market spectrum focused on acquiring assets and portfolios at Greenfield, Yielding or at Brownfield [Asset Recovery] stages of lifecycles. The power markets allow us to create and manage a sophisticated asset management schedule in conjunction with global technology leaders. We focus on underwriting the power yield portfolios in terms of performance, sustainability and geo political systems of management. Power Markets offer multi layers of earning potentials alongside potential to invest in auxiliary markets such as transmission & distribution, land lease back etc which offer lucrative returns alongside a full potential to underwrite major risk components. 

Renewable Power Yields

Financial Asset Securities underlying pools of debt - equity linked securities. Medium & Long Term notes deriving cash flow systems from portfolio pools of Power, Energy, Medical or other major segments which arise from both Public & Private Capital Domains. Financial Asset pools also under focus are medium scale private banking loan or security pools for recapitalisation and repackage structures. Financial Assets are a major source of potential repackage and arbitrage markets to the AXCAP modules. Each portfolio selection is based on a bespoke research and analysis base and managed through global investment bankers and underwriting associates. 

Money Market Derivative

Focused on Luxury hospitality pools and other portfolios that encompass a long equity strategy; the Real Estate strategy of AXCAP lies in a multi-Strategy approach spread on the spectrums of Greenfield & Yielding Assets with a specialised division to Asset Recoveries in the market space. With a large scale potential in investing with global developer and private equity platforms; the AXCAP real Estate markets are built for an equity long strategy with a global syndicate of large scale developers and other institutions that provide us strong research and analysis data and management schedules. The AX' Real Estate Investments are driven on Residential, Commercial, Hospitality and Mixed Use Markets.

Real Estate Yield Markets

EU & UK domiciled investment companies and management. Regulated structures and specialised management companies for Institutional Investments.

Investments and Management

State of the art collaborations and partnerships to manage performance & financial risks alongside geo-politics and other factored initiatives.

Risk Management

In partnership with global banks and trustees; the solutions are provided with regulated partners and institutions. 

Global ManCo

Money Markets

Portfolio derivatives issued from synthetic ring-fenced asset backed securities. Equity and Debt Linked securities issued and managed through our regulated investment funds. Institutional debt capital market investors for fixed income underlying derivative pools; credit enhanced and bespoke tranched opportunities. 

Investment Stocks & Bonds 

Investments into corporate and synthetic equity & debt linked securities with underlying asset backed securities originating from infrastructure and financial market institutional obligations. 

Real Estate 

Institutional Synthetic REITs and Ring-Fenced Asset portfolios from the real estate markets spanning commercial, hospitality, alternative estates [airports, renewable assets, concessions]. 

Alternative Markets

Acquisition of wealth invested pools, private equity exit markets, repacs and restructures of distressed asset classes. 

Infrastructure Long Term

Synthetic InVit and Portfolio Assets with underlying assets spanning Power, Transmission & Distribution, Oil & Gas

Debt Capital Markets

Sovereign backed medium and long term notes. 

Relative Value & Credit Long Funds

Connect to AXCAP 

ABS

Rating

Markets

Credit

Security

Call Option

Long

Equity Long

Market Neutral 

Emerging 

Senior

Investment Grade

Fixed Income

Distressed Securities & Relative Value

Connect to AXCAP

ABS

Rating

Markets

Credit

Security

Call Option

Long / Short

Equity Long 

Market Neutral 

Distressed 

Emerging 

Senior

Investment Grade

Fixed Income

Relative Value

Connect to AXCAP

ABS

Rating

Markets

Credit

Security

Call Option

Long / Short

Convertible Arb

Multistrategy Arb

Equity Arb

Super Senior

Emerging

Investment Grade

Mixed

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