Portfolio



APPROACH

Eric Beasley Corporation has a extensive portfolio, with holding in multiple sectors and geographies.

We invest in any industry or geography, in public or private companies, with controlling or non-controlling interests, in debt or equity, short- or long-term, at any point in the growth cycle. This open-investment mandate enables us to focus solely on asset value creation.

Led by faith, with a purpose of bringing productivity, people and green centered management to firms in our portfolio.


Our only limit is Oil, in which is a asset class we have yet to invest in.
Eric Beasley Corporation has more then 400+ equities, credit, and alternatives in our portfolio across the world.



FUTURE

Along with increasing our portfolio value across the board for long term holdings, we wish to get into day trading.
Our day trading will consist of manual option trading and automated quantitative trading.
Trading options will bring in even more free cash flow and allow us to acquire assets faster and at larger tickets, increasing our spread without spending a dime.



For any questions, concerns, investment ideas, pitches, etc

Contact: AM@EricBeasley.co



PORTFOLIO PERFORMANCE

This is Eric Beasley Corporation portfolio performance, this does not include asset held by Eric Beasley Capital.

AUM: > $400M (PR)



ASSET CLASS                                                           

Public Stock & Corporate, Foreign & US Bonds

Mobile Home Parks

Real Estate Loans

Real Estate

Private Stock

Private Credit

Art

VC



YTD Return

46.29%

15.5%

15%

23.9%

19%

16.7%

19.1%

21%