Endowment / Foundation

Updated:

THREE BRIDGES

Three Bridges Capital is an independent investment manager that serves institutions, endowments, foundations, family offices and wealth‑management firms.

THREE BRIDGES

Three Bridges Capital is an independent investment manager that serves institutions, endowments, foundations, family offices and wealth‑management firms. Headquartered in Atlanta with its investment team operating out of New York, the firm concentrates on international equity markets, primarily large‑cap stocks. Its product suite includes long‑only, long/short and equity‑market‑neutral strategies that seek to generate competitive returns in rising markets and preserve capital in down markets. Investment decisions are driven by a conviction‑based, bottom‑up stock‑selection process supported by macro‑economic context and proprietary risk controls. The research team covers all industry sectors, conducts deep‑dive proprietary analysis, and maintains frequent direct contact with company management, while eschewing sell‑side research. By leveraging its New York location, Three Bridges aims to avoid “group think,” gain superior access to international management, and capture perceived inefficiencies in global markets.

General information

Firm type

Endowment / Foundation

Location

Country

United States

City

ATLANTA

Corporate office

ATLANTA, United States

Sector focus

Institutional InvestorEndowment / FoundationUnited States

Frequently asked questions

What types of investors does Three Bridges serve?

It invests on behalf of institutions, endowments, foundations, family offices and wealth‑management firms.

Which markets and asset classes does Three Bridges focus on?

The firm focuses on international equity markets, primarily large‑cap stocks, and offers long‑only, long/short and equity‑market‑neutral products.

How does Three Bridges generate its investment ideas?

Ideas come from detailed proprietary stock research, frequent direct contact with company management, deep‑dive sector reports, and a bottom‑up stock‑selection process supported by macro context and proprietary risk controls, without using sell‑side research.

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