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Belgravia Capital | SGIIC
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About Us

Belgravia Capital is a regulated investment management company specialised in European equities since its foundation in 2002. Currently Belgravia manages around €0.5 billion in several UCITS.

Independence

As Belgravia Capital does not belong to any financial group and does not engage in any financial activity other than fund management.

Discipline

The investment team is fully committed to rigorous application of our investment process based on thorough team work.

Experience

The investment management team has over 50 years of experience in European equities.

Motivation

As the interests of our clients are aligned with those of our investment team through their participation in the funds we manage.

Agility

We are not constrained by the hierarchical decision making processes so common in large organizations.

CIO is AAA Qualified

premiocitywire

Gold qualification awarded to Belgravia Capital

gold-en

Belgravia Epsilon FI

Long only investment fund domiciled in Madrid (Spain) whose investment universe is European equities, with an active management of risk and systemic return of the portfolio.

SEE FUND

*Belgravia Delta FI

Market neutral investment fund domiciled in Madrid (Spain) whose investment universe is European equities, hedging market risk through derivative instruments.

* Formerly called Belgravia Balboa FI

SEE FUND

Belgravia Beta SICAV

Long only SICAV domiciled in Madrid (Spain) whose investment universe is European equities, with an active management of risk and systemic return of the portfolio.

SEE SICAV

Belgravia Delta SICAV

Market neutral SICAV domiciled in Madrid (Spain) whose investment universe is European equities, hedging market risk through derivative instruments.

Investment company which was deregistered from the CNMV’s registry on December 16, 2016 because of its merge by Belgravia Balboa FI.

SEE SICAV

A.I. Belgravia Lynx

Sub-fund within a Luxembourg domiciled SICAV whose investment universe is European equities, with an active management of risk and systemic return of the portfolio.

SEE SICAV
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