Public Markets

ADIC’s Public Markets department manages two distinct portfolios. The first is a Hedge Fund mandate investing in world-class managers trading across all public market asset classes globally. The second is a Global Equities portfolio that invests in Beta One managers across long-only, active-extension, and portable alpha strategies. The Public Markets department also includes Direct Investment / Co-Investment programs.

World Map Visual
  • 38% United States
  • 14% Europe
  • 48% Rest of the World

Areas of Investment

  1. Hedge Funds

    Manage a diversified portfolio of hedge funds that aim to generate strong risk-adjusted absolute returns through our partners across a range of strategies. 

    • Multi-Strategy Platforms
    • Global Equity Hedge
    • Multi-Asset Market Neutral
    • Global Macro (Discretionary / Systematic)
    • Global Credit & Event Driven
    • Quantitative Strategies
  2. Global Equities

    Invest in a globally diversified portfolio of Beta One equity managers. The portfolio aims to generate strong outperformance over global equity indices across Developed and Emerging Markets utilizing multiple strategies.

    • Discretionary / Fundamental
    • Quantitative Equity
    • Portable Alpha
    • Sectoral / Thematic Equity Alpha
  3. Direct & Co-Investments

    Leverage our unique partnerships and network to invest directly and through co-investments across public market asset classes globally. This investment strategy can be driven by bottom-up fundamental analysis or top-down thematic views.