award winning risk adjusted returns since 2013
Oakhaven Capital
Focused on delivering leading risk-adjusted returns through rigorous research, a disciplined process and a relentless commitment to consistency and collaboration.
Oakhaven Capital: Committed to sustainable, risk-adjusted returns since 2013.
Oakhaven Capital is an independent, boutique investment manager with a mission to generate leading risk adjusted returns with a focus on growth, sustainability and consistency. We are a knowledge and research-focused solution for clients looking for long-term, sustainable growth. Founded in 2013, Oakhaven Capital is a manager owned company.
Our Funds

Oakhaven Strategic Fixed Income FR QI Hedge Fund
Click to view
Oakhaven Capital Graduate Programme
Oakhaven Capital has a graduate programme in place, allowing post grad students the opportunity to match their research-driven curiosity with real-world asset management, powered by a boutique team committed to growth, discipline and innovation. The focus is on bringing new entrants into the South African asset management environment, and providing the all important first access point into a vibrant industry.


