Helping  to create wealth in a world that is occasionally unpredictable and often irrational. 



Security now and into the future.

Sacke Investments provide private capital diversification strategies.

We manage risk through careful asset selection and diversification into fixed income and a range of alternative assets such as real estate, infrastructure and commodities.

At Sacke Investments, our focus is on preservation and growth.  


 

Research and Innovation

We continually seek to understand why and how the world is changing and the sectors and businesses that are most likely to be impacted.  These insights instruct our investment selection as we construct proactive portfolios, built to perform through changing economic cycles.

Considered 
Risks

Eliminating risk altogether is neither possible nor desirable.  The preservation and growth of capital are our main objective.  

We review and monitor a range of high-quality opportunities that are resilient through a variety of economic cycles and market conditions. This enables us to tailor the risk and reward characteristics of financial goals to specific needs.


 

Steady 
Growth

Capital needs to perform.  This means delivering ‘real’ (inflation-adjusted) returns, by an amount appropriate to the level of risk you are willing and able to accept.  Shares in companies traded on stock markets tend to be the main driver of growth through time but can be volatile.  Commodities and real estate can offer long-term solutions for growth.


 

Real Capital
Value

Management fees, tax and inflation all diminish returns over time. We focus on growing the real value of capital after all these effects are taken into account, to help achieve investment objectives.

Long-term
Strategies

We are patient in realising asset potential. While it is important to remain attuned to short-term market movements, these are often driven by sentiment rather than long-term prospects. Our process focuses on long-term returns, driven by changes in the fundamental value of assets, whilst retaining a flexible approach that is able to adapt to evolving economic and market circumstances.

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