
MEYER GLOBAL MANAGEMENT
is a technology-focused investment manager headquartered in New York City.
The firm seeks to identify companies that are at the forefront of innovation with the aid of secular tailwinds that achieve attractive absolute investment returns.

PHILOSOPHY
Technology is not an industry.
It is a catalyst for positive change in all industries.
Technology disrupts.

Meyer Global manages multiple private investment funds employing a fundamentally-oriented, multi-stage, and cross-asset approach to investing. We understand the need to be nimble and adapt our position sizing in order to hedge risk exposure while maximizing absolute returns for our investors.
MULTI-STAGE INVESTMENT APPROACH
The firm focuses on public and private companies in the global Internet, software, hardware, and financial technology industries. We invest in future leaders.
CROSS-ASSET CLASS CAPABILITIES
Meyer Global's team is composed of entrepreneurs and founders with deep expertise across asset classes, including private equity, public equity, credit, convertible securities and real assets. Our agnostic investment style provides us the ability to focus on generating absolute returns without constrictions.
B2B TARGETING $1TRN+ INDUSTRIES
The firm supports business-to-business company models and looks to address mega markets (existing or being created) for disruption and growth. We typically look for founders who have substantial ownership of their company and are stubbornly focused to succeed.
CONCENTRATED PORTFOLIO
Meyer Global focuses on a select number of investments and allocates capital concentrated toward our best ideas. We manage a concentrated single portfolio in both private and public equity with capital concentrated in our highest conviction ideas.
RISK MANAGEMENT
Risk management is at the core of our discipline. We review all risk factors and balance out our fundamental bottoms-up approach by applying a long/short equity investment strategy to keep a low net exposure of all our positions.
