M&L Capital Management
M&L Capital Management Limited (MLCM) is an Alternative Investment Fund Management Firm specializing in Intellectual Property rich, fast growth, global equities. The company believes in the increasing economic power of the Machine and constructs investment strategies to capitalize on this shift, emphasizing a 'Long the Future' approach. Their flagship fund is the Manchester & London Investment Trust plc, listed on the London Stock Exchange since 1997, which aims to outperform UK indices by investing primarily in high-quality, developed market global equities.
Industries
Nr. of Employees
small (1-50)
M&L Capital Management
Products
London-listed global equities investment trust (long/short)
A publicly listed investment trust providing exposure to global blue-chip growth stocks with a long/short strategy and derivative overlays; shares are traded on the London Stock Exchange.
London-listed global equities investment trust (long/short)
A publicly listed investment trust providing exposure to global blue-chip growth stocks with a long/short strategy and derivative overlays; shares are traded on the London Stock Exchange.
Services
Marketing and investor relations services for a London-listed investment trust, including newsletters, fact sheets and social media engagement.
Coordination with a third-party registrar to handle shareholder queries, certificates, dividends and shareholding notifications.
Invitation-only events and speaker sessions on topics relevant to the investment community, aimed at private client managers, journalists, bankers and fund managers.
Marketing and investor relations services for a London-listed investment trust, including newsletters, fact sheets and social media engagement.
Coordination with a third-party registrar to handle shareholder queries, certificates, dividends and shareholding notifications.
Invitation-only events and speaker sessions on topics relevant to the investment community, aimed at private client managers, journalists, bankers and fund managers.
Expertise Areas
- Long/short equity management
- Derivatives and hedging strategies
- Portfolio analytics and exposure reporting
- Fundamental investment research
Key Technologies
- Derivatives (options, short positions)
- Delta-adjusted exposure analytics
- Portfolio and risk analytics
- Digital investor communications