About Brooksfield Capital

Who We Are

Brooksfield Capital Limited is a professional fund and portfolio management firm established to help individuals and institutions preserve capital, grow wealth responsibly, and navigate markets with confidence.
We exist for investors who understand that real wealth is built through discipline, patience, and intelligent risk management.

Brooksfield Capital Limited is being established as a regulated fund and portfolio management firm structured to operate under the regulatory framework of the Securites and Exchange Comission (SEC) Nigeria, with Licence approval currently in progress.

Our services

Happy Clients

Investment Completed

Project Finance

Structuring and Managing Investment Funds

  • Fund structuring and strategy design
  • Portfolio construction and management
  • Risk management and compliance
  • Performance reporting and governance

Each fund is managed with a clear objective and disciplined execution.

Strategic Guidance for Informed Investors

  • Portfolio construction and optimization
  • Asset allocation strategy
  • Risk assessment and adjustment
  • Performance evaluation
  • Market outlook and positioning

We act as a strategic partner, helping clients make informed, confident investment decisions.

Financial markets reward clarity, discipline, and information advantage.

Brooksfield Capital operates with:

  • Deep market research
  • Macroeconomic and policy awareness
  • Local market intelligence
  • Quantitative and qualitative analysis
  • Scenario-based risk evaluation

Every investment decision is intentional, reviewed, and aligned with a defined mandate.

We do not speculate.

We allocate.

Operating within Nigeria's financial ecosystem gives us insight into policy shifts, liquidity cycles, interest-rate dynamics, and market behavior.

Our local presence allows us to:

  • Identify mispriced opportunities early
  • Understand regulatory and fiscal direction
  • Manage liquidity and counterparty risk
  • Structure portfolios that reflect real market conditions—not theory

This local depth is combined with global asset management standards to deliver institutional-grade outcomes.

Brooksfield Capital manages and advises on portfolios across:

  • Money market and fixed income instruments
  • Treasury and government securities
  • Structured and yield-optimized products
  • Select alternative and private market exposures
  • Customized portfolios for HNIs and corporates

Each mandate is governed by risk limits, performance benchmarks, and reporting standards.

Risk is not avoided, it is understood, priced, and managed.

Our risk framework focuses on:

  • Capital drawdown control
  • Liquidity management
  • Counterparty exposure
  • Duration and interest rate sensitivity
  • Market and regulatory risk

Returns are pursued only when risk is compensated.

We operate as fiduciaries. This means:

  • Clear separation between client assets and firm operations
  • Defined investment mandates
  • Transparency in reporting and performance
  • Strong internal controls and oversight
  • Ethical decision-making at every level

Your capital is managed with care, accountability, and respect.

Giving ideas for your fund.

Our portfolio advisory service provides customized investment guidance for clients who want clarity, structure, and professional insight.

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