Strategy
A capital management framework built around each client's specific goals. Not a single house view forced onto every portfolio.
The Baobab Strategy is Tigere Capital's core investment framework. Research-grounded and built around each client's time horizon, liquidity needs, and risk tolerance. We don't impose a fixed holding period. Your goals drive every allocation decision.
We combine fundamental analysis with quantitative screening to find securities and asset classes where the reward genuinely justifies the risk. Every portfolio is built with close attention to drawdown, correlation, and concentration.
"We don't separate growth from preservation. Your money shouldn't be forced into a template built for someone else. Every allocation we make starts with your situation, your timeline, and what you're actually trying to build. Not a house view. Not a standard portfolio."
01 · Roots
We invest in businesses and assets with real, lasting advantages: strong balance sheets, predictable cash flows, and management that thinks like owners.
02 · Trunk
Our models screen for quality, valuation, and momentum, taking emotion out of the process. Human judgment comes in at the edges, where it matters most.
03 · Canopy
Diversification is deliberate, not automatic. Position sizing reflects conviction and correlation. The portfolio is built to hold up across market cycles, not just the current one.
04 · Season
Every portfolio is structured around your time horizon and liquidity needs. Two years or twenty, we build for your specific window.