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Multiple Global Equity Strategies Built for Conviction and Adaptability​

​The Fountainhead Partnerships Fund (FHPF) and the Fountainhead Tactical Allocation Fund (FHTAF) are operated by Conduit Asset Management which is regulated by the Monetary Authority of Singapore (MAS)

About

People, Process & Platform

At Fountainhead, our investment strategies are anchored in the collective experience of our people, the discipline of a repeatable investment process, and a shared commitment to the long-term stewardship of capital. Patience, intellectual integrity, and continuous learning form the framework for evaluating opportunities across market cycles, supporting both conviction-driven investment and measured tactical responses to evolving market conditions. Through the integration of rigorous fundamental research, dynamic portfolio construction, and structured risk management frameworks, we seek to deliver carefully constructed strategies designed to navigate complexity while preserving clarity of purpose, consistency of execution, and resilience across environments.
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Continuity Of Leadership
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Dedicated Investment Team​
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About Fountainhead

What we do

Our Investment Capability

Fountainhead’s investment platform is built upon a unified intellectual framework that supports multiple complementary strategies. While each strategy pursues distinct return drivers, they share a common foundation of disciplined philosophy, rigorous research, and structured portfolio implementation designed to deliver consistent outcomes across market environments.

Our Investment Philosophy

Our investment philosophy reflects a long-term orientation, disciplined underwriting standards, and a commitment to capital preservation alongside growth. We seek to invest in high quality businesses with durable competitive advantages, balancing conviction with valuation discipline and maintaining a focus on sustainable risk- adjusted outcomes across market cycles.

Our Research Strategy

Fountainhead’s research process integrates bottom-up fundamental analysis with thematic insights and ongoing evaluation of portfolio exposures. Insights derived from company research, opportunity frameworks, and risk assessment inform structured portfolio construction decisions, enabling differentiated security selection and coherent strategy implementation across investment mandates.

Tactical Allocation & Risk Management​

Complementing long-duration fundamental investing, Fountainhead employs a risk- aware tactical allocation strategy designed to adapt positioning as market conditions evolve. Through dynamic exposure management, diversified implementation vehicles, and structured overlay techniques, the platform seeks to enhance resilience, moderate downside risk, and support consistent return generation across different market environments.​

Our STRATEGIES

Explore Our Funds

At Fountainhead or diverse range of investment funds combine long-term conviction investing with volatility-aware tactical execution to build resilient portfolios capable of navigating both stable and stressed market environments. Our strategies are designed for Accredited and Institutional Investors seeking differentiated, risk-adjusted returns across cycles.

Fountainhead Partnerships Fund (FHPF)​

The Fountainhead Partnerships Fund is our flagship strategy, built on disciplined research and long-term conviction.  By merging global themes and deep in-house analysis, we invest in resilient, often-overlooked businesses with strong growth potential.  Our strategy emphasizes capital preservation, prudent risk management, and delivering sustainable returns across different market cycles.

 

Fountainhead Tactical Allocation Fund (FHTAF)​

The Fountainhead Tactical Allocation Fund is an actively managed global ETF and options strategy designed to generate alpha while mitigating downside risk. The strategy dynamically allocates across global markets and employs structured options overlays to enhance returns and manage volatility.

Insights

Keep up to date with Fountainhead

Investment Letter – Q3 2025

The Fund maintained valuation discipline and is positioned for post-AI normalization favoring quality value stocks.

 

Investment Letter – Q2 2025

The Fund modestly gained but lagged speculative markets, maintaining disciplined positioning in undervalued healthcare and quality growth stocks poised for recovery.

Liberation Day – Spring 2025

The tariff-driven market volatility has improved valuations, and Fountainhead can deploy cash in attractive growth companies while maintaining hedges.​ ​