The Firm

New York, USA

London, UK

Shanghai, China

We are disciplined investors with a high value-creation and outcome-oriented investment approach across a wide spread of asset categories. Our focus is in sectors with high potential for growth, profitability, and sustainability while delivering transformational results to companies and investors by properly diversifying assets with the least amount of risk.


We are value-versatile investors committed to creating a positive economic impact and delivering high sustainable long-term value for our customers. Our principles are based on integrity, discipline, and trust.

What we do?

We specialize in managing investment portfolios and strategically deploying capital across a diverse range of investments to achieve exceptional returns for our clients. Our process is rooted in a meticulous and diligent approach, driven by our unwavering commitment to comprehensively understand the evolving dynamics of global markets and economies. By continuously monitoring and analyzing these factors, we ensure that our investment strategies remain agile and adaptive, positioning our clients for long-term success in an ever-changing financial landscape.


Global Macro Strategies & Emerging Markets

Global Macro Strategies focus on building portfolios around predictions and projections in a global scale based on national economies, history, and international relations. They can cover different sectors and industries, market caps and nations.

Our experts do extensive research and travel the world looking for opportunities while evaluating risks, all in the pursuit of identifying and capturing potential value in special situations and conditions in the global economies.

Private Financing

Soho Capital Partners is a direct lender focused on providing financing solutions for operating businesses.

Our flexible financing products allow for tailored solutions for equity buy-outs, acquisitions, growth capital, and other situations for companies that typically have EBITDA between $1 million and $10 million.

We have special focuses on convertible notes and mezzanine lending, meeting a gap in the market driving higher yields than our competitors.

Real Estate

We have owned and managed virtually every product type; our extensive network of joint venture partners allows us to comfortably invest across a range of property types, giving us the breadth of knowledge and experience to make contrarian investments in almost any and every aspect of commercial real estate.

Construction / Development

SCP partners with real estate developers that have decades of experience to invest in the future of infrastructure. With particular focus on commercial and hospitality builds, we find above market returns by building strategic partnerships with co-GP developers and finding exit pathways early on in the development process.

Directional Long/Short Equity Strategy

Long/short investing is a great way to exploit profit opportunities by purchasing equities that are likely to increase in value and selling short equities that are likely to decrease in value.

Our goal is to provide highly diversified, variable long/short portfolios across developed market equities that generate consistent returns.

Relative Value Arbitrage Strategies

Relative-value arbitrage is an investment strategy that focuses on identifying discrepancies in prices between securities that share comparable economic of financial characteristics while using leverage to identify and amplify the returns.

Our expert investors have the knowledge and expertise to evaluate the markets themselves as well as individual securities. They utilize a variety of quantitative and qualitative methods to identify securities they believe to be mispriced in relation to fundamental and technical factors and profit from the imbalance.

Event-Driven Strategies

Event driven investing seeks opportunities to take advantage of temporary stock mispricing or pricing inefficiencies, this can happen before or after a corporate event, such as mergers, acquisitions, re-organizations, buy backs bankruptcy, earning calls, and similar events.

Our team of investors have all the required knowledge and expertise to accurately analyze and determine when or if a company event will occur and evaluate the risk for successful execution.

Capital Structure Strategies  

Capital structure investing involves taking advantage of the mispricing across different security classes of one single capital structure, in other words, it is a comparative value trade that uses only one’s company’s securities.

Our professional investors have the skills and necessary experience to evaluate and analyze different scenarios of undervalued and overvalued securities within a company, with the objective to profit systematically from pricing inefficiency and different intermarket dynamics.