What we do

Investing directly in MXN fixed-income markets is complex and opaque — from CETES and MBONOS to corporate bonds and derivatives. Traditional fund options often add high fees, conflicts, and underperformance. We simplify access with transparent, disciplined strategies.

Segregated Managed Accounts

Dedicated accounts providing full transparency, direct ownership of assets, and customized management.

About Us

Stable Returns Through Mexican Fixed Income

Dolomiti Capital Ltd is a professional investment fund established in the British Virgin Islands. We focus exclusively on fixed income markets, combining disciplined portfolio construction with the flexibility to capitalize on market dislocations and inefficiencies.

Our approach is rooted in rigorous research, institutional discipline, and trusted counterparties

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Governance & Structure

Jurisdiction

British Virgin Islands – recognized as a Professional Fund under the Securities and Investment Business Act (SIBA), regulated by the BVI Financial Services Commission (FSC).

Oversight

Independent oversight with Pershing (custody), NAV Consulting (fund admin), Baker Tilly (audit), and Harneys (legal counsel).

Eligibility

Subscriptions limited to Professional / Eligible Investors as defined under BVI law.

Flagship Fund

Results

Period P.A Average Fund Net Return Average Benchmark Return
1 Year p.a +28.26% +10.96%
3 Year p.a +27.52% +10.75%
5 Years p.a +22.36% +8.24%

Investment Approach

Dolomiti Capital focuses exclusively on the Mexican fixed-income market, applying disciplined credit selection and active management to capture consistent, risk-adjusted returns.

Our process integrates institutional-grade analysis, local market expertise, and dynamic exposure management to identify and exploit value where others see inefficiency.

Market Opportunity

We transform Mexico’s fragmented fixed-income landscape into opportunity.

By capitalizing on pricing disparities, asset-swap differentials, and relative-value arbitrage across sovereign, quasi-sovereign, and corporate issuers, Dolomiti converts structural inefficiencies into a defined market edge; maintaining transparency, liquidity, and capital preservation throughout.

Tailormade Fixed-income Strategies

Tailored Solutions

Dolomiti designs and manages bespoke fixed-income strategies built entirely around client objectives.
 
Whether the goal is capital preservation, enhanced yield, or exposure to a specific market segment, each mandate is constructed with precise risk-return alignment and transparent implementation.

Flexible Framework

Independent oversight with Pershing. We provide end-to-end solutions, from vehicle structuring and regulatory alignment to custody and administration.

Each arrangement adapts to client jurisdiction and oversight requirements, ensuring seamless management and reporting throughout the investment lifecycle.

For Institutional Needs

Our tailor-made strategies serve family offices, institutional investors, and corporates seeking dedicated mandates within the fixed-income space.

By leveraging Dolomiti’s market access, infrastructure, and disciplined management approach, investors can implement highly customized portfolios with institutional precision.

Dedicated Market Professionals

Dolomiti's leadership brings over three decades of experience in Global Fixed-Income Markets, with a proven track record. Having navigated diverse market cycles, we identify opportunities with precision, manage risk, and deliver consistent value to our customers.