Our Approach

Jackson Peak Capital (“Jackson Peak”) manages a global, concentrated long/short equity strategy with flexible net exposure.

What We Do

We seek to deliver attractive absolute returns across market environments. We are striving to achieve equity-like returns while taking less outright market risk and maintaining low correlation to overall equity markets. Jackson Peak follows a research-driven, value-oriented approach focused on uncovering asymmetric risk/reward opportunities.

How We Do It

Jackson Peak’s portfolio is built on three pillars: core longs in businesses with inflecting fundamentals and asymmetric upside, event-driven positions that capitalize on idiosyncratic catalysts, and shorts in overvalued companies with deteriorating fundamentals.

We employ a "go anywhere" approach — agnostic to industry, geography, or market cap — and actively manage net exposure based on the opportunity set and market conditions.

For more information about Jackson Peak Capital or to subscribe to our quarterly letters, please contact us.