stoneweg group

ESG Report 2024 is now available

Explore the Stoneweg Europe Stapled Trust (“SERT”) website and learn about the platform.

Varia US Properties is a Swiss based company exclusively investing in the US residential real estate market, listed on the Swiss Stock Exchange
WORK AT STONEWEG
Stoneweg Alternatives is our dedicated business unit providing institutional investors, family offices and wealth managers with access to the highest-quality alternative investment managers and strategies globally. Operating under two FINMA licences with a team of 15 experienced professionals and approximately $1 billion in AUM, the platform spans three complementary strategies: private credit, venture capital and hedge funds.
Private markets and alternative strategies have moved from portfolio complement to primary driver of long-term, risk-adjusted performance.
We see compelling opportunities across private credit in the US and Southern Europe. Each pillar addresses a different dimension of the alternative universe.
Our team has spent years cultivating the relationships that surface the best opportunities before they reach the open market.
The retreat of traditional bank lending has opened significant space for disciplined private credit providers. We focus on asset-backed and corporate financing in the US and Southern Europe, markets where structural credit gaps, strong collateral availability and sophisticated borrower demand create a compelling environment for lenders who can move with speed and certainty.
The companies defining the next decade are being built right now. Our venture capital strategy is built around privileged access, to top-tier managers, compelling co-investment opportunities and the innovation-driven themes reshaping industries globally. We invest through fund-of-funds structures, co-investment mandates and direct deals, building diversified exposure across stages, sectors, geographies and vintages. Disciplined diversification manages concentration risk while maintaining meaningful participation in the winners that drive portfolio returns.
In a world of correlated risk, carefully selected hedge funds provide what most portfolios lack: returns independent of equity beta, protection in drawdown environments and access to strategies that simply do not exist in traditional markets. We offer a curated, multi-manager portfolio of leading and emerging managers spanning all major alternative strategies, governed with full institutional rigour. For investors who have built their hedge fund exposure through a piecemeal, single-manager approach, we offer something structurally different and consistently better.
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