
We map capital to real opportunities through research, judgment, and a clear understanding of how markets actually move.
Talk to UsAssets Under Management


Active Investments
We’ve grown by staying disciplined and studying markets closely. Our evolution reflects years of research-backed decisions and a consistent commitment to responsible investing.

Aries Capital LTD, based in Bermuda, was founded in 2011 with a focused objective to provide institutional investors access to frontier and emerging market opportunities through structured and disciplined investment management.
Authorized and approved by the Bermuda Monetary Authority and established as an independent investment firm based in Bermuda.
Through underlying funds, brought AUM and achieved a milestone of US$250 million.
Asia, MENA, and emerging markets with a diversified infrastructure portfolio.
Integrated ESG and sustainability principles into all investment processes through underlying funds.
Reached US$ 2 billion+ in AUM in various sector through diversified portfolio with 50+ jurisdiction footprint.
Authorized and approved by the Bermuda Monetary Authority and established as an independent investment firm based in Bermuda.
Through underlying funds, brought AUM and achieved a milestone of US$250 million.
Asia, MENA, and emerging markets with a diversified infrastructure portfolio.
Integrated ESG and sustainability principles into all investment processes through underlying funds.
Reached US$ 2 billion+ in AUM in various sector through diversified portfolio with 50+ jurisdiction footprint.
Our decisions are shaped by a clear purpose to manage regulated funds and financial institutions in a compliant manner, discipline, and long-term vision that stands up in capital markets.
We focus on strategies built from research, measured judgment, and an understanding of how individual markets behave, not on short-term momentum or noise.

We assess each opportunity through fundamentals, market patterns, and sector realities to determine where capital can work responsibly and effectively.

As an alternative investment manager, we maintain strong corporate governance within a regulated fund environment and keep our compliance and security practices updated in line with evolving requirements.

These principles influence how we form judgments, assess risk, and structure strategies that remain resilient as markets shift and industries evolve over time.
We rely on clear thinking and grounded analysis to navigate complex markets.
Every investment decision is handled with care, discipline, and respect for capital.
We study each sector thoroughly before committing to a direction or strategy.
Our processes, evaluations, and actions follow a steady, disciplined approach.
We collaborate closely with investors to align expectations, decisions, and outcomes.
We maintain compliance and security practices aligned with evolving regulatory expectations.
We bring a measured, research-led approach to every mandate, giving investors strategies built on thoughtful analysis and consistent execution.
Sector and market research informed by real on-ground insight
A disciplined, structured approach to evaluating every opportunity
Clear communication and aligned expectations across all mandates
Active oversight and timely adjustments as market conditions change

If you'd like to understand our process or evaluate a fit, our team is available for a direct, informed conversation.