We seek to provide innovative financial solutions and investment vehicles to help our fund investors achieve their investment goals. With offices around the world, we fulfill our mission one investor at a time one company at a time and we do this as one global team.
We focus to identify opportunities in a wide range of asset classes in different sectors and invest in assets that will generate steady income and potential appreciation in capital so as to deliver regular dividends and achieve capital growth.
Our portfolio of assets and economic exposures includes an investment in
UK, Poland, Brazil, Chile, Mexico, Hong Kong and South Korea
Our investment policy is to make investments in a portfolio of assets in different sectors through different means which includes but not limited to direct asset ownership, swaps, credit default swaps, debts, warrants, options, convertibles, preference shares, equity, guarantees of assets and performance, securities lending and participating loan agreements provided that it will not make any direct investments in real estate and commodities
SOLEX GLOBAL implements the following strategies in working to achieve its investment objective:
Active Portfolio Management Strategy – sourcing and acquiring new assets in a wide range of asset classes in different sectors that enhance the returns to shareholders;
Financing and Risk Management Strategy – in addition to acquiring new assets, opportunistically divesting assets to maximize shareholder value; and
Acquisition Growth Strategy – optimizing the capital structure of individual assets and the portfolio as a whole.