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Dighton is a very-well established alternative asset manager with more than 19 years of history

Private EquityDighton currently manages hedge funds,
private equity and real estate funds

At Dighton, our single minded focus is to offer standard or tailor-made investment solutions to sophisticated institutional and private investors. The firm places paramount importance on performance, risk management and transparency – key features of all its products.
Driven by a passion to invest, every member of our team is committed to delivering the finest investment strategies to investors.

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years of experience

ServicesUnconventional customized unique investments solutions, private equity and real estate investments

Real EstateBenefitting shareholders, customers and the landscapes around the globe

The investment philosophy of the Dighton Real Estate Fund is being nimble and opportunistic – true to the nature of Dighton Capital Management. Value is created by allocating to high-growth geographical regions and sectors and applying hands-on asset management of the assets. This includes a focus on fundamentals such as a flexible approach to leasing, an enhancement of environmental performance and facilities management, adding net space, planning upside and change of use. Dighton Group is involved in multibillion projects developments around the world. Our efforts resulting in solid returns for investors and strong economic assets for communities. Dighton Real Estate asset management team has a proven ability to enhance the value of the assets we hold on behalf of our client.

Dighton Funds International -
projects developments around the world

Global MacroDighton Global Macro

As a global investment manager and fiduciary to our clients, our purpose at Dighton is to help everyone experience financial well-being. Since 2005, we’ve been a leading provider of financial technology, and our clients turn to us for the solutions they need when planning for their most important goals.

StrategyOverview

Investment target

Above average market returns

Diversificated asset class portfolio
High level of liquidity
US & European listed assets and derivatives
The Dighton Global Macro is a fund portfolio which follows Global Macro strategy. Trading is done solely on liquid and highly regulated US Markets. The strategy is developed by Dighton Team and successfully operated since 1992. The investment ideas are generated by combining fundamental macro and technical analysis, such as wave analysis (Elliot Wave), W.D. Gann principles (angles), Fibonacci retrenchments, time cycles, volume indicators, Trix indicator, divergences and pattern analysis, volume and Time cycles. The Fund manager trades on high conviction and his tight selection standards reject 9 out of 10 trading ideas. The funds aim to achieve above average market returns.

strategyLong term global macro positions

The approach is based approximately 75% on fundamental data interpretation and 25% on technical analysis. The investment manager identifies global cycles using long term fundamental data and long term charts. Analysis of geopolitics, economics and other fundamental data is combined with technical indicators on long term charts. The positions are held dynamically depending on volatility. These positions can be held from 1 month to multiple years.

 

strategyShort term technical positions

The approach is also discretionary however more influenced by technical analysis, with 75%, and 25% fundamental based. Chart analysis include (but are not limited to) wave analysis (Elliot Wave), W.D. Gann principles (angles), Fibonacci retrenchments, time cycles, volume indicators, Trix Indicator, divergences and pattern analysis. Fundamental factors will be added to these technical indicators which should support the technical view in order to come to a positive investment decision. These positions are typically held from 1 day to 2 months.

 

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