Empowering Wealth, Protecting Futures
Offering proprietary trading returns and stability to fund investors
Our Mission
Praetorian Capital Partners aims to democratise access to sophisticated investment strategies throughout the market cycle. Empowering wealth & protecting futures.
Building on a +306% return over the past 5 years (31% CAGR) by our founders prior to the fund’s launch.
Praetorian Fund went live in March 2025, and has returned +32% versus +14% for the S&P 500 over the same period.
Investment Philosophy
Praetorian Capital’s core strategy: Event-driven value investing. We focus on mispriced companies – both undervalued and overvalued – where a clear thesis and well-identified catalysts drive value realisation. Our positions are selected with deep fundamental analysis and high-conviction in near-term events that will drive re-pricing.
We offer sophisticated investment strategies across global markets. Investors gain diversified exposure across US, European, and Asian markets, spanning equities, derivatives, commodities, currencies, and fixed income.
Limited early investor window open: Low minimum investment. No lock-up. 60 day liquidity notice. High-watermark applied.
How We Invest For You
Strategy Variety:
We deploy a range of strategies depending on prevailing market dynamics such as: momentum, level-based and event driven.
Multi-Asset Focus:
To reduce correlation, we trade across asset classes: equities, commodities, currencies, fixed income and derivatives.
Dynamic Execution:
Risk based execution and exposure ensures opportunity utilisation is maximised and risk minimised.
Global Markets:
US (high liquidity), EU (regulated diversity), Asia (growth), and emerging markets (low correlation).