Markus Spielmann Inc.® is a debt-free equity research and asset management firm that exclusively invests in diversified US small cap, mid cap and large cap US equities. Founded in 2009, the firm has deployed more than eleven billion of investor capital across the US markets, executing over 40 institutional acquisitions to date.

Markus Spielmann Inc.® investment strategy is data-driven. We employ our own proprietary analytics to acquire, manage and shift each individual investment opportunity. Our vertically integrated platform is designed to achieve scale efficiencies in directly managing all portfolio acquisitions, dispositions and asset management operations. During the period 2009-2016, this strategy has enabled Markus Spielmann Inc.® to preserve principal and produce strong risk-adjusted returns for our clients, significantly over achieving in comparison to broader markets.

Markus Spielmann Inc.® exclusively advises on US Equities and is fully regulated to do so by the Financial Conduct Authority (FCA).