Invest with Confidence
Grow with Purpose.
Stonegate Global Equities, directed by Stonegate Fund Management, runs a concentrated global equity strategy. We invest in high-quality businesses with durable earnings power, operating with a multi-year horizon and a strict requirement for absolute returns.
Welcome to Stonegate
Investment fund
About Stonegate Global Equities
Stonegate Global Equities invests in a concentrated portfolio of high-quality global businesses.
Driven by primary research and a multi-year investment horizon, our mission is the preservation and compounding of capital through rigorous selection and structural discipline.
Stonegate
Note on Heritage
Our name refers to the Kamenita Vrata (Stone Gate) of Zagreb, a 13th-century structure that has endured centuries of volatility. We seek a similar permanence in our holdings: businesses with ‘moats’ capable of weathering macro-economic shifts and technological disruption.
Investing in global opportunities
Fund Strategy
We deploy capital into businesses characterized by high barriers to entry, dominant pricing power, and resilient free cash flow generation. Our name reflects the permanence we seaek in our holdings: companies with “moats” capable of weathering macroeconomic shifts and technological change.
We measure our performance by the absolute growth of our partners’ capital, rather than relative performance against a benchmark. Our mandate is the avoidance of permanent capital loss while capturing the compounding upside of elite global businesses.
Equities: A proven path to long-term capital appreciation
Why Invest in Equities?

Marko D.
Vucemilovic
Portfolio Manager
Meet Stonegate Fund’s Portfolio Manager
Experience & Expertise

Marko D.
Vucemilovic
Portfolio Manager
Stonegate Global Equities portfolio manager
Investment Leadership
Marko D. Vučemilović brings over a decade of high-conviction investment experience to Stonegate.
Previously a Senior Analyst at Soros Fund Management in London, he has operated within the world’s leading financial hubs, including New York and London. Marko holds an AB in Economics (cum laude) from Harvard College and an MBA from The Wharton School.
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The Power
of Compounding
Compounding, or earning returns on past returns, is a fundamental principle of long-term investing. Even modest annual growth can lead to significant wealth accumulation over time. For example, an investment growing at 10% per year will more than double in just seven years. The key to maximizing compounding benefits is patience, consistency, and a long-term perspective. By holding quality investments and reinvesting earnings, investors can harness the full potential of exponential growth.