Infinity Group

Infinity Equity Ventures is the private investment arm of the Infinity Group. This business unit was created to manage all of the liquid balance sheet resources of the Group, its principals, and a few of its close strategic partners. Infinity Equity Ventures’ investment activities have been focused in industry sectors where the Group has developed particular insights but where it does not have direct operating capability. These include Insurance and Banking, Sports and Entertainment, Mobile Technologies, and Consumer Electronics.

Infinity Equity Ventures has invested significant capital with a focus on sustainable mid- to long-term value, built on both income and growth strategies. The Company’s holdings include non-controlling interests in public and private companies, as well as significant ownership stakes in private ventures of strategic interest to the Group. Infinity invests in both early stage ventures with high growth potential, as well as in mature but undervalued companies. The Company’s public securities portfolio includes domestic equities, mutual funds and exchange traded funds, highly rated government and corporate fixed income securities, and global currencies. Infinity differentiates itself from other investors in its efficient decision-making and ability to invest without a pre-specified exit timeframe.

Infinity Equity Ventures pursues a diversified strategy anchored by our founders’ long-term business ownership culture, and on their value investing philosophy. We are committed to investing our capital without the use of risky debt leverage strategies. This conservative approach has produced consistent returns, durable value gains, and low volatility in our investment portfolio. Our management style and investment priorities ensure wealth preservation and moderate growth under varying economic environments. Infinity Equity Ventures’ prime purpose is to create opportunities for our capital apart from our core business industries, and to make strong investments designed to provide superior risk-adjusted returns in a variety of asset classes.