Highmore is a diversified, global alternative asset management firm, acting both as a principal investors and as allocators on behalf of private and institutional clients.
Having a depth of experience across the broad alternative investments universe.
With investment specific expertise in areas such as private credit to real estate, private equity to hedge funds, liquid alternatives to cash management.
Complementing these areas is Highmore's ability to manage our client's complete investment portfolios through our risk reduction framework.
Highmore's breadth allows us to serve the alternative investment needs of any investor.
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The Next Generation of
Global Alternative Investing
The Tax Cuts of 2017 provided for the creation of “Opportunity Zones” which are specially created geographic districts that allow investors to receive substantial tax breaks for investment capital to fuel growth and development in low-income communities.
The Highmore Opportunity Zone Fund enables investors to not only take advantage of favorable tax benefits, but will help establish new norms for economic activity that are better aligned with economic, environmental and socially sustainable goals that benefit future generations.
Investors may reinvest gains from any existing investments within 180 days into an Opportunity Fund and defer/reduce those capital gains taxes (IRC Sec. 1400Z).
Highmore’s Liquid Alternative Models were created to provide all investors, large or small, with access to alternative investments in a diversified and liquid format.
Highmore’s Liquid Alternative Models, supported through the investment sourcing, due diligence, monitoring and education by Highmore is the solution.
Highmore’s Risk Targeted Models are designed to provide clients with a diversified investment portfolio, with client’s ability to chose between a Conservative, Balanced or Growth model.
Highmore’s Alternative Income Model is designed to generate current income for those looking to complement their existing fixed income portfolio allocation.
Highmore’s Trade Finance Fund offers compelling risk-adjusted performance and important diversification.
Increasingly volatile and correlated equity and fixed income markets have made meaningful portfolio allocations to alternative investments more important now than perhaps ever.
Among alternative investment opportunities, we believe the short duration, security, and self-liquidating attributes of the Highmore Trade Finance Fund's underlying transactions uniquely well position investors.
The Highmore Trade Finance Fund, LP is focused on strong principal protection while generating income with low correlation and low volatility relative to the equity and bond markets.