Since its establishment in 2005, Mercuria Investment Group has been managing funds, focusing on business opportunities that extend beyond nations, regions and established frameworks under the concept of "cross-border."
The Group identifies opportunities to invest in businesses expected to grow and assets expected to be profitable that have been overlooked and invests in the businesses and assets through funds. The Group provides profits made through the investment to investors.
Mercuria Investment Co., Ltd., the core of the Group, manages funds that invest primarily in alternative assets. Alternative investment is the opposite of investment in traditional assets (domestic and foreign stocks, domestic and foreign bonds). The liquidity of alternative assets is low, but reliable investment management makes it possible to generate a high return from them. As a multi-strategy fund manager, which is unique in Japan, we implement investment strategies according to trends in the macro environment.