Navigating equity markets for long-term growth
Equity Hedge funds seek to capitalise on opportunities in the stock market by using a range of strategies, such as long/short equity strategies, adapting to changing market conditions to offer potential growth and diversification to investors.
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Our dedicated team brings together diverse expertise and insights, ensuring we deliver exceptional investment strategies.
Andre Malan
Equity Portfolio Manager
Kobus Nel
Equity Portfolio Manager
Deon Botha
Equity Portfolio Manager
Cornelius Zeeman
Equity Portfolio Manager
Hennie Bezuidenhout
Quantitative Portfolio Manager
Donald Curtayne
Equity Portfolio Manager
Rob Hart
Global Real Estate Equity Portfolio Manager
Clarissa van der Westhuyzen
Equity Portfolio Manager
David Rossouw
Equity Portfolio Manager
Zander Wessels
Quantitative Portfolio Manager
Stephen Brown
Equity Strategist
Jacobus Lacock
Macro Strategist
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NEWS AND INSIGHTS
Fairtree insights
Explore a wealth of knowledge from our thought leaders, offering in-depth analysis, market trends, and expert commentary to help you navigate the evolving financial landscape.
Private markets and the case for private US real estate
As investors look beyond traditional public markets for differentiated sources of return and diversification, private markets are becoming an increasingly important part of the investment landscape. Private equity, private debt and real estate can introduce sources of return that differ from those available in traditional equities and bonds.
Macro Pulse Episode 37
This episode unpacks the three big themes driving markets in the second half of 2026: US economic and market resilience, the AI capex cycle, and geopolitical instability in the Middle East.
Fairtree Global Equity Fund Q2 2026 commentary
The quarter was defined by two overlapping themes: a sharp rebound from the March US-Iran shock, as the geopolitical risk premium unwound and oil prices retraced, and an exceptionally powerful but highly concentrated AI and semiconductor rally that drove index returns before consolidating in June following a more hawkish shift in interest rate expectations.
Fairtree Global Flexible Income Plus Fund Q2 2026 commentary
The second quarter of 2026 marked a decisive shift in the global rate regime. After more than a year of disinflation and central bank easing, inflation reasserted itself across the major economies, forcing policymakers onto a more hawkish footing and driving a broad repricing of government bonds.
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