Strategic Portfolio & Holdings

A diversified, globally integrated portfolio spanning 47 sectors, 312 active subsidiaries, and $142B in managed assets. Engineered for resilience, innovation, and compounding value.

Total Assets Under Management
$0B
▲ 18.4% YoY
Active Holdings
0
▲ 24 New Acquisitions
Avg. Portfolio ROI
0%
▲ 2.1% vs Benchmark
Global Markets
0
Across 5 Continents
ESG Compliance Score
0%
▲ Tier-1 Rated
Annual Dividend Yield
0%
▲ Consistent Payout

Sector Allocation

Strategic distribution across high-growth and defensive verticals to optimize risk-adjusted returns.

Total Allocation
100%
Technology & AI
28%
Energy & Infrastructure
18%
Healthcare & Biotech
15%
Financial Services
15%
Aerospace & Defense
13%
Agriculture & Commodities
11%

Featured Holdings

Core subsidiaries driving portfolio performance and long-term value creation.

🌐
Technology
Zenth Digital Systems
Enterprise AI infrastructure, quantum computing platforms, and global cloud orchestration.
Market Cap
$24.1B
YoY Growth
+32%
Ownership
100%
Energy
Aevum Power Grid
Smart grid modernization, fusion research facilities, and renewable microgrid deployment.
Market Cap
$18.7B
YoY Growth
+21%
Ownership
85%
🧬
Healthcare
Zenth BioSciences
CRISPR gene therapy, precision medicine platforms, and telemedicine networks across 42 nations.
Market Cap
$15.3B
YoY Growth
+28%
Ownership
100%
📊
Finance
Aevum Capital Markets
Algorithmic trading, institutional wealth management, and cross-border settlement infrastructure.
Market Cap
$31.2B
YoY Growth
+16%
Ownership
100%
🚀
Aerospace
Orbital Dynamics Corp
Low-earth orbit satellite constellations, hypersonic propulsion, and space manufacturing.
Market Cap
$9.8B
YoY Growth
+41%
Ownership
72%
🌾
Agriculture
TerraVerde AgriTech
Vertical farming ecosystems, precision agronomy AI, and sustainable protein supply chains.
Market Cap
$7.4B
YoY Growth
+19%
Ownership
90%
🔍

Acquire & Integrate

Strategic acquisition of market-leading firms with proprietary technology, followed by deep operational integration to unlock cross-divisional synergies.

⚙️

Optimize & Scale

Deployment of standardized AI-driven management systems, supply chain automation, and capital allocation frameworks to maximize EBITDA margins.

📈

Harvest & Reinvest

Systematic profit extraction through dividends, strategic divestitures, and IPO exits, with capital recycled into high-growth frontier markets.

Portfolio Performance

Year-over-year asset valuation and compounded returns since portfolio inception.

Inception: 2020 Current Valuation: $142B CAGR: 34.2%