What we do
We are active investors, asset managers and builders of businesses.
Oxford and our portfolio companies manage nearly
$70 billion of assets across four continents, in some of the world’s most transformative places. Our competitive advantage is in combining global platforms and expertise with local trends and experience to create exceptional experiences and value.
We pair a dynamic capital allocation framework with committed capital, operational agility and empowered teams. We invest with creativity and conviction across the risk-reward and opportunity spectrum – single asset, portfolio or platform; public or private; new or existing; debt or equity. We are flexible and nimble. The depth and breadth of our team’s experience is complemented with rigorous risk analysis and data-driven decisions. Across sectors and around the world, we have a track record of delivering industry leading risk-adjusted returns with positive ESG outcomes.
We create the conditions that enable long-term outperformance and resilience for our portfolio of leading global real estate businesses and teams. We commit dedicated, permanent capital and maintain a significant ownership position. We share insight and foresight shaped by our exposure to diverse strategies, sectors and markets, across the lifecycle and capital stack and alongside some of the most forward-thinking people and partners in the business. We provide access to a portfolio of world-class core capabilities to give local platforms and teams the competitive advantages that comes from our global scale, expertise and network. All of which helps our distinct businesses be more successful independently and collectively.
We serve a select group of leading, like-minded global institutional investors. Our co-investors can partner with us across multiple strategies, markets and sectors. They value our conviction and creativity, track record of outperformance and the alignment of interests that comes from our maintaining substantial skin in the game.