
Independent Investment Firm
Investing across global markets
Long-term capital compounding for international qualified investors: multi-asset and concentrated equity strategies, complemented by selected partnerships with specialist investment firms.
View StrategiesFor professional and institutional investors only.
What We Do
Capital Compounding for International Qualified Investors
B.U.Y. Invest manages capital for international qualified investors through two complementary strategies and selected partnerships. The Basic Strategy is a multi-asset, total-portfolio strategy that allocates across asset classes and geographies, diversified by source of risk. Equity Holdings, its equity sleeve, is a concentrated portfolio of high-quality listed companies. Through its partnerships, the firm gives investors access to specialist capabilities, for example in Indian markets and options-based strategies.
The common thread is discipline: diversification by source of risk at the portfolio level, valuation and capital efficiency at the company level. The Basic Strategy targets 10% per annum or more over a full market cycle of five to seven years, net of fees, in portfolio base currency. It is a transparent, objective-based alternative to passive index exposure.
How We Do It
Strategy Structure
Two strategies are managed in parallel, sharing a common philosophical framework but addressing different mandates.
Basic Strategy
Multi-asset compounding strategy with a defined equity sleeve, applying valuation discipline across global markets within a structured risk framework.
Equity Holdings
The equity sleeve of the Basic Strategy. Concentrated portfolio of high-quality companies selected on profitability, capital efficiency, and price discipline.
Defined investment objective: 10%+ p.a., full market cycle, net of fees
No structural bias to asset class or geography
Vehicles structured under Swiss jurisdiction for institutional governance
Principal capital aligned alongside investors
Why Us
Focused and Independent
B.U.Y. Invest operates with a focused and independent structure designed to preserve alignment, flexibility, and discipline.
Independent investment approach
No structural bias toward asset class or geography
Lean, decision-efficient organization
Strong finance and technology expertise
Ability to evaluate and price evolving business models
Strategies
Investment Strategies
Basic Strategy
Multi-asset compounding strategy. Objective: 10%+ p.a. over a full market cycle. For qualified investors.
View Basic Strategy detailsEquity Holdings
Concentrated equity sleeve. Disciplined on operating profitability, capital efficiency, and valuation. Live valuation indicators.
View Equity Holdings detailsFAQ
