About Us

El Dorado Capital

A young, global, and dynamic Hedge Fund licensed under category 3C and regulated by the Dubai Financial Services Authority (DFSA), domiciled in Dubai International Financial Centre (DIFC).

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El Dorado Capital
was founded

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Cumulative years
of market experience

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Dynamic strategies
managed across various sectors

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Asset classes
diversified over global exchanges
Our

Holistic Approach

Synthesizing global equations into concentrated insights.

We aim to build a well-diversified portfolio by including a mix of traditional and alternative asset classes. This approach is designed to achieve competitive risk-adjusted returns throughout the investment period.

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investment-approach
At a Glance

Ensigns of
El Dorado Capital

Experience

Diversified and time-tested talent provides a collaborative environment to innovate. Our enduring client experiences are built on trust, integrity, and disciplined investment approaches.

Innovation

The cross-pollination of ideas through hybridization produces dynamic new research concepts for structuring investments.

Diversification

Our diverse range of asset classes creates a broad investment pool, designed to deliver optimal outcomes across various market cycles.

Tactical Risk Matrix

Managing risks, is an art. We manage risks from macro to micro level, from Investment talent to dynamic market conditions, through stress testing and mitigating tail risk with analytical prowess.

Governance

We follow and manage the highest ethical standards of professional and personal conduct.

Local to Global

Managing opportunities from local to global markets with the objective of building multi-asset and multi-strategy portfolio.

Core Expertise

Comprehensive Investment Strategy

We blend macroeconomic insights, market technicals, economic policies, and sectoral analysis to identify and capitalize on opportunities across all asset classes, aiming for competitive returns and resilience.

A well-diversified team with varied opinions, expertise, and experiences are central to our investment process for creating a sustainable investment model. The execution of this model is guided by ethical discipline, analytical precision, an adaptive and responsive approach, and responsible thinking.

The firm employs a multi-strategy approach that includes a broad range of strategies such as equity-oriented investments, hedge/arbitrage, statistical modeling, commodities trading, and portfolio construction based on dynamic opportunities.

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Money Never Sleeps

We operate in multiple time zones & multiple financial jurisdictions

Dubai
New York Chicago London India Singapore China Japan

Working Around The Clock

10+

TIME ZONES

30+

EXCHANGES

100+

INSTRUMENTS

Our Office

Culture

Integrity and transparency are the fundamental cultural values at our company.  

Simple - Transparent - Consistent 

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