To attain our goals of consistent absolute returns regardless of market conditions, we take an active, risk conscious approach to managing our portfolio. Our analytical process scrutinizes a company’s fundamentals, valuation, and business model against the backdrop of market and economic factors.

The source of returns for our investments will come from core long/short positions held over time and short-term positions that take advantage of event driven catalysts and erroneous valuations.



© Westgate Capital Management, LLC
Not an Offer: These pages have been prepared for informational purposes only and do not constitute an offer to sell, or a solicitation of an offer to purchase any security, hedge fund, trading strategy or service. Any such offer or solicitation will be made only by means of a confidential prospectus / private placement memorandum and in accordance with the terms of all applicable securities and other laws. None of the information or analysis presented is intended to form the basis for any investment or trading decision, and no specific recommendations are intended.