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Welcome to Zelvoqua.
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Zelvoqua deploys capital into world-class equities, emerging markets, and alternative assets — guided by rigorous research and long-term conviction.
Zelvoqua is a globally diversified investment firm managing institutional and private capital across equities, fixed income, commodities, and emerging markets. We combine quantitative rigor with deep fundamental research.
From the New York Stock Exchange to Dalal Street, from Frankfurt to Tokyo — our investment intelligence spans every major financial market on earth.
Our flagship portfolio has consistently outperformed benchmark indices across all major market cycles, including the 2020 and 2022 corrections.
Every mandate we manage is guided by deep research, disciplined risk management, and long-term perspective.
Long-only and long/short equity strategies across US, European, Asian, and emerging market equities. Factor-based and fundamental approaches.
Explore →Access to private equity, venture capital, real assets, and hedge fund strategies. Designed for sophisticated investors seeking uncorrelated returns.
Explore →Global sovereign and corporate bond strategies, currency, and rates. Capital preservation with inflation protection at the core.
Explore →Zelvoqua actively manages positions across 38+ exchanges worldwide. Real-time research informs every allocation decision.
Our investment philosophy is grounded in four core pillars that have driven consistent, risk-adjusted outperformance across all market cycles.
Every position is backed by deep fundamental and quantitative analysis. We hold nothing we cannot fully explain.
Exposure across 38 markets and 14 asset classes ensures your capital is never over-concentrated in any single region.
Proprietary risk frameworks set hard limits on drawdown exposure, protecting capital in volatile environments.
Investors receive real-time dashboards, monthly letters, and quarterly calls with portfolio managers.




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