Beeli Capital
Long-Short Quality Investing in Public Equities
Beeli Capital seeks to deliver consistent alpha by identifying high-quality businesses and managing risk through disciplined short exposure. We aim to outperform the S&P 500 over the full investment cycle.
About us
WHO ARE WE
Beeli Capital is a hedge fund focused on public equities using a Long-Short Quality Investing strategy. We seek to identify high-quality businesses trading at attractive valuations while managing risk through short positions in lower-quality or overvalued companies.
We typically maintain:
- Net exposure: 90–110%
- Long exposure: 120–160%
- Short exposure: 20–60%
Our approach is rooted in disciplined fundamental analysis, long-term thinking, and a commitment to delivering superior risk-adjusted returns across market cycles.
A Disciplined Approach to Quality Investing
Rigorous fundamental analysis to identify durable business models
Concentration in high-conviction ideas with favorable risk/reward
We focus on consistent alpha generation by staying disciplined, independent, and research-driven — regardless of market noise.

Let's Connect
Whether you’re an investor, partner, or simply curious about our strategy, we welcome the opportunity to connect.
Reach out for more information or to start a conversation with our team.