Learmond Capital Markets
Learmond Capital Markets is The Learmond Corporation's operating and funding division. We maintain The Corporation's portfolio, The Corporation's operational budget, track daily performance movements, and support long-horizon budget execution.
Investment Portfolio
Our portfolio achieves a 17.04% average daily return. It focuses on early-stage, established, traditional and Fortune 500 companies across all sectors. We maintain a watchlist of promising companies under consideration for future investment.
Learmond Capital Markets adopts a long-term strategy, and our goal is to keep portfolio turnover low. We aim to hold our positions for the long-term, allowing us to support the growth of our portfolio companies and benefit from their growth and success.
We favour positions in oil, gas, and renewable energy companies given the current market conditions and our outlook on the energy sector. Biotechnology companies represent another important segment of our portfolio. We also like startup AI and AI nexus companies. Artificial Intelligence represents the next frontier in technological advancement.
The AI Strategy
A central tenet in our AI strategy is not that it is AI, but that it is useful for solving important problems and creating value. We are focused on companies that are using AI to solve important problems, creating value, teaching skills, and maximizing potential.
How We Manage Gains
We reinvest all gains into the portfolio. This allows us to compound our returns and support our portfolio and our portfolio companies' growth. By reinvesting our gains, we maximize the potential for long-term growth and value creation.