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One disciplined platform managing three complementary strategies across private markets, alternative credit and listed value equities — designed around how global institutional investors actually allocate.
Explore the PlatformG Global Capital Asset Management is the investment division of G Global Capital Holding. The platform extends the group's private equity expertise with two institutional income strategies developed through its Alternative Credit Division — one disciplined business offering growth, income, capital preservation and diversification.
A disciplined value strategy targeting undervalued, cash-generative and asset-backed opportunities across GCC private equity, listed value equities and special situations. Every investment must pass conditions, not guidelines.
Learn MoreBuilt for the most consistent demand of family offices: reliable, contractual cash income. Senior, floating-rate, investment-grade-weighted credit designed to convert today's rate environment into stable distributions.
Learn MoreThe balanced solution — one line on a statement that behaves like a complete allocation. Alternative credit, private equity, listed value equities and government bonds combined in a single instrument.
Learn More*Indicative initial coupon, subject to final terms at issue date. Target returns and coupon information are available in the fund documentation, provided to qualified professional investors upon request. Targets are objectives, not forecasts, and are not guaranteed.
Six principles that govern every allocation decision across the platform.
Hard quantitative conditions on valuation, tangible assets and cash generation — conditions, not guidelines.
We protect first and compound second, with downside frameworks across every strategy.
Dividends, coupons and rental income anchor returns — value measurable in assets, not narratives.
A hybrid platform spanning listed value equities, private transactions and alternative credit.
On-the-ground sourcing from Singapore and Dubai across family-business transitions and institutional deal flow.
Management is meaningfully co-invested alongside investors in the strategies it manages.
Through a strategic equity partnership with Avenida, G Global Capital has integrated more than two decades of CLO and structured-credit expertise into its own Alternative Credit Division. Investment strategies are managed by Mindful Wealth Pte Ltd, a Singapore-based manager regulated by the Monetary Authority of Singapore.
Direct access to top-tier CLO managers across an institutional-only asset class historically reserved for banks and insurers.
Rigorous manager selection, continuous collateral surveillance and defensive portfolio construction through market cycles.
Strategies managed by a MAS-regulated investment manager with independent administration, custody and audit.
For fund documentation or to arrange a meeting with the management team, please contact us directly.