Public Markets.
Konstandinovic Management long term investment strategy is based on the Contrarian Market methods. We invest and acquire fundamentally strong equities when they are undervalued and near the bottom of their sell-off cycle.
Our aim is to accumulate long positions in securities that are below their intrinsic or fair value, with the intent to capitalize on the share price appreciation and dividend growth (where applicable). The long positions are accumulated with the intent to allow for the compounding effect to take place, and aggressively grow the portfolio NLV over a longer term period of time.

Through diversification across various sectors & industries, we aim to lower the risk of our investments. We strive to balance our portfolio based on various market & economic cycles.
The fund’s key portfolio positions are held until the securities become extremely overvalued or the economic landscape changes with a potential negative effects on our position values and portfolio NLV.
While we persist to allow the compounding effect to impact our position over a period of time, we deploy numerous long and short positions with the intent to capture short term profits, boost ROI of the overall portfolio, hedge against market volatility and protection of deployed capital.
Private Markets.
Konstandinovic Management provides specialized Consulting Services meant to exponentially Grow & Scale businesses. While, we keep the traditional company operational principles in mind when advising companies, we tend to differentiate ourselves with “out of the box” entrepreneurial thinking. This allows us to help our clients position their companies & brands as disruptors of their industries and come up with revolutionary market offerings, strategy and business models.

Our revolutionary entrepreneur based frameworks & strategies allow companies to be more agile, adaptive to the market conditions and successfully compete with other companies in their industry, regardless of their size and market share.
