G&S Capital applies a disciplined value-investing approach to uncover opportunities across several asset classes.
A Vision for Long-Term Growth
At G&S Capital, we focus on long-term value creation, leveraging our expertise to navigate market cycles and deliver consistent results.
Guided by deep corporate finance insight, we uncover undervalued opportunities across global public markets, ensuring disciplined, data-driven decisions.
The GS Fund offers a liquid, diversified portfolio with a focus on listed equities and high-yield corporate debt, balancing growth and stability.
About the Portfolio Managers
As Co-Portfolio Managers and General Partners, we are directly responsible for executing the fund’s strategy and overseeing its administration.
We combine extensive expertise in Corporate Finance and Corporate Law to provide a disciplined and well-informed approach to investing. Our experience spans credit risk assessment of stressed and distressed companies and M&A legal counsel, equipping us to identify and navigate complex opportunities in the financial markets.
About G&S Capital
G&S Capital is an Alternative Investment Fund Manager (AIFM) based in the Netherlands. The firm’s sole activity is to manage the GS Fund. We are registered with the Dutch Authority for the Financial Markets (AFM), ensuring full compliance with regulatory standards.