gray concrete building during daytime

What We Do

Seer invests in opportunities where technology, consumer behavior, and global demand are reshaping industry economics. Our portfolio spans software and data platforms as well as essential products and services in the real economy. We invest with a disciplined, fundamentals-driven process, backing capable teams and scalable models with a clear path to measurable value creation.

PRIVATE EQUITY

Direct Sector Investment

Investment Focus:

▪ Technology & Innovation: Applied AI, automation, software platforms, cybersecurity, and data infrastructure that modernize how businesses operate.

▪ Health, Life Sciences & Human Advancement: Digital health services, MedTech, diagnostics, and biotechnology enabling better outcomes and more efficient care.

▪ Real Assets & Essential Systems: Logistics networks, industrial modernization, energy transition, and resilient platforms supporting real-world demand.

▪ Consumer, Lifestyle & Experiences: Modern food and beverage, wellness, community-driven brands, and experience-led businesses shaping contemporary lifestyles.

▪ Capital Solutions & Global Opportunity: Growth-oriented credit, liquidity solutions, structured investments, and technology-enabled trading and risk systems that improve profitability and flexibility.

We also invest selectively across Frontier Horizons—including fusion-enabling energy, advanced robotics, engineered biology, next-generation materials, and aerospace systems—where our conviction, access, and operating capabilities align.

PRIVATE MARKETS MANAGER SELECTION

Fund-of-Funds / Multi-Manager Investing

Seer invests in high-quality private market funds managed by leading third-party firms. This capability complements our direct private equity activity by providing diversified exposure to select managers, strategies, and vintages—built through a disciplined manager research and portfolio construction process.

Our team conducts ongoing fund diligence and monitoring, combining deep fundamental evaluation with systematic, repeatable analytics to assess performance persistence, risk, and distribution quality over time.

While specific allocations and component weights are confidential and proprietary, our methodology is consistent and standards-driven.

Core elements of our selection and monitoring framework include:

▪ Proven performance across multiple market cycles, with clear attribution of returns and risk controls

▪ Institutional scale and durability, typically including managers with $1B+ in AUM, stable platforms, and repeatable processes

▪ Return and cashflow discipline, including meeting internal total-return thresholds and demonstrating stable, explainable distribution behavior

▪ Alignment and governance checks, including incentives, decision rights, team stability, and operational rigor

▪ Continuous review, with defined triggers for re-underwriting, de-risking, or reallocation as conditions change

GLOBAL MERIDIAN CAPITAL FUNDS

Active Multi-Strategy Portfolio (Proprietary Capital)

Global Meridian is an actively managed portfolio operated by Seer Corporation. The mandate spans multiple investment frameworks and strategic objectives, enabling dynamic allocation across global markets. The Fund deploys private and proprietary capital and remains closed to third-party investors.

Consistent with Seer’s investment objectives, the portfolio emphasizes thematic opportunity identification, disciplined risk management, quantitative analysis, and the application of advanced hedging strategies to manage volatility. Investment decisions follow a structured internal process designed for consistency and long-horizon alignment.

The Fund does not solicit outside capital and provides no public offering materials.

TRADING TECHNOLOGIES LAB

Institutional Trading Systems Research & Diligence

The Trading Technologies Lab is where Seer identifies, vets, and advances high-integrity trading technologies primarily for institutional and accredited investors. We focus on systems designed for regulated operating environments, supported by transparent infrastructure and disciplined, rules-based automation—favoring structures that keep participation segregated, auditable, and under investor control.

Seer works directly with program sponsors and technology operators to assess execution quality, operational resilience, and risk architecture—prioritizing approaches that avoid fragile recovery mechanics and aim for consistent, repeatable behavior.

The result is a curated pipeline of trading capabilities where structure, governance, and operational clarity come first—supporting commercially viable strategies designed to deliver returns over time.