Ottomin is an active global investor with a diversified portfolio spanning all major asset classes. Blending public and private market strategies, the Group deploys capital across fixed income, equities, foreign exchange, property, private credit, infrastructure, venture capital, and natural resource markets. Ottomin in part deploys its returns into the Ottomin Foundation, supporting the Group’s ongoing commitment to philanthropy and positive community impact.
Ottomin is committed to preserving and growing capital in real terms, with a focus on absolute returns and long-term value creation.
Originating as a resource sector financier and investor, Ottomin has built a strong track record of funding emerging and established mining companies when traditional capital was out of reach. Leveraging Richard Kovacs’ extensive knowledge in precious metals, Ottomin has developed particular expertise in commodity-based royalties – in particular gold royalties. Today, Ottomin is an active participant in private equity and debt capital markets, delivering deal structuring, strategic oversight, and hands-on management to its investment partners.
Ottomin maintains strong relationships with specialist managers and institutions, enhancing access to high-quality investment opportunities. An internal Investment Committee oversees deal selection, tactical allocation, execution and portfolio management.
The Group’s dynamic portfolio strategy targets broad diversification—investing across sectors such as commercial property; digital services and technology; energy; healthcare; infrastructure and natural resources. Capital is deployed through both direct investments and externally managed funds to maximise opportunity and manage risk.
The team’s in-house capacity to analyse opportunities and assess risk enables Ottomin to be selective, nimble and timely in making investment decisions.
