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Bozzino Capital

Absolute return,
multi-strategy investment firm with a value-based, sector-agnostic trading approach, founded with High-yield Bond-backed middle market buyouts.

Value Proposition

Leveraging six mid-market, media tech buyouts (FY1) to spin out a value-based, sector-agnostic hedge fund trading across real assets, fixed income, event-driven, activist as well as portfolio of other funds to substantially diversify (FY3), with a strategic plan to grow the long-term "Buy and Build" into a conglomerate holdings (FY5) pari passu short-term, risk-neutral investments for maximum capital protection and business appreciation (FY10) in a hyper competitive market, in the style of Berkshire Hathaways, Citadel and Apollo.  

Investment Edge

FLEXIBILITY

Investors can pick and choose what opportunities they want to be a part of, such as industries they prefer or have experience working in, which allows them to provide risk-averse results and stronger support post transaction. 

HIGH IMPACT

High growth investments with limited downside risk and a shorter investment period to avoid tying up capital for longer than a buy-side is comfortable.

STRONG DILIGENCE

Long-term commitments can lead to “zombie funds“, underperforming investments where investors continue to get dinged for fees in a group of investments that has no exit opportunity, due to the lack of performance.

DEFENSIBILITY

Not just investors, but also all-round experts by blood in performance improvement and de-risking, when required, employing helicopter, transformational management consulting stalking progress, mixed with liquidity and radical post-deal transformation.

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