Our Solutions
We offer two unique funds along with select co-investment opportunities
Galileo Total Return
■ Protect & Grow Capital
■ Low Volatility & Low Correlation
■ Superior Risk-Adjusted Returns
■ Long Term Track Record
■ Minimize Drawdowns &
Expedite Recovery
Galileo Equity Opportunities
■ Wealth Creation
■ Lower Volatility
■ Differentiated & Diversified Investments
■ Sector Specific Focus
■ Special Situations &
Opportunistic Strategies
Co-Investments
■ Upsize Highest Conviction Long &
Short Equity Opportunities
■ Ability to take PE like Positions with
Longer Term Themes
■ Add Alpha to Returns
The Galileo Advantage
PROVEN LONG TERM
TRACK RECORD
Strategy launched in 2006 with outperformance and fast recovery throughout volatile periods
UNCORRELATED
RETURNS
Two diversified multi-manager strategies with low correlation to major market indices
ALIGNMENT OF
INTERESTS
Significant investment by Galileo Partners
LOW
VOLATILITY
Focus on minimizing volatility by rigorous portfolio management
IDEA
SOURCING
Active and established global network to source investment opportunities based on the extensive industry experience of the Galileo Principals
DUE
DILIGENCE
Clear understanding of the strategy, source of returns, and risk controls. In depth background checks and deep-dive analysis
QUALITY OF
RETURNS
Long term track record with low volatility and low correlation relative to major market indices
MEANINGFUL
DIVERSIFICATION
Diversified by strategy, style, geography, and market-cap focus so managers complement each other during various market cycles
RISK
MANAGEMENT
On-going manager diligence and risk management. Regular corporate calls and office visits