A Legacy of Trust
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“Vision without action is merely a dream. Action without vision just passes the time. Vision with action can change the world.”
— Sebastián da Silva, Director
About the Fund
Transporting Across the Country
Jazon Global Fund is an offshore investment vehicle established in the British Virgin Islands with a five-year operational vintage. Structured as an approved fund by the FSC in BVI, we focus on delivering sustainable returns through a disciplined approach to global markets. Our investment philosophy centers on identifying asymmetric risk-reward opportunities while maintaining prudent risk controls. Through market cycles characterized by unprecedented volatility, we have consistently demonstrated our ability to adapt and preserve capital.
Our Core Pillars
Investment Strategy
Diversified Allocation & Market Agility
Our approach combines traditional fixed income strategies with alternative real estate investments, providing diversification across asset classes and geographic regions. We maintain a dynamic allocation framework that responds to evolving market conditions while preserving capital during periods of uncertainty. In fixed income markets, we actively manage duration risk and credit exposure, adjusting our portfolio composition based on interest rate cycles and monetary policy expectations. Our real estate investments focus on growth areas with strong economic fundamentals, targeting markets with favorable demographic trends and investor-friendly environments. Forecasting may be challenging, but planning remains essential in asset management. We position our portfolio to capitalize on market dislocations while maintaining the flexibility to adapt to changing conditions.
Performance Philosophy
Consistency Over Speculation
Our risk-return profile emphasizes consistent performance over speculative gains. Through periods of extreme market volatility, including the unprecedented conditions of recent years, we have maintained low portfolio volatility while generating positive returns for our shareholders.
We believe that sustainable wealth creation comes from disciplined investment processes rather than market timing. Our approach focuses on identifying undervalued opportunities across global markets while maintaining robust risk management frameworks.
The fund's track record demonstrates our commitment to capital preservation during challenging market conditions while positioning for growth when opportunities arise. Our shareholders benefit from this balanced approach that prioritizes long-term value creation.
Real Estate Portfolio
Consistency Over Speculation
Our real estate investments represent a strategic diversification beyond traditional securities, providing exposure to tangible assets that demonstrate resilience against inflation. We focus on geographically diverse markets with strong growth dynamics and favorable economic conditions.
Our property portfolio includes developments in key growth areas, benefiting from demographic trends, favorable tax policies, and continued investor interest. These investments provide capital appreciation potential while offering protection against currency debasement and inflationary pressures.
Real assets within our portfolio have consistently outperformed during periods of economic uncertainty, demonstrating the value of diversification beyond traditional fixed income and equity markets. This allocation strategy enhances our ability to deliver stable returns across varying market conditions.
Our real estate division focuses on high-demand residential and commercial locations in New York and Florida.
219 Jay St.
Brooklyn, NY
134 Vanderbilt St.
Brooklyn, NY
Palm Bluff Preserve Drive
Clearwater Tampa, FL
La Linda Harbor Vista
Ft. Lauderdale, FL
Coronas Park
Siesta Key, FL
Trouville Esplanade
Normandy Isles, Miami Beach, FL
Indian Rocks Beach
Clearwater Tampa, FL
Bay Rd.
Miami Beach, FL
Calais Dr
Normandy Isles, Miami Beach, FL
17th Ave
Coconut Grove, FL
