Money Maze Podcast

185: RIT Capital Partners: Global, Unconstrained, Undervalued? A Conversation with Maggie Fanari (RIT CEO)

Oct 16, 2025
Maggie Fanari, CEO of RIT Capital Partners and former investment expert at Ontario Teachers, dives into her career journey and the unique identity of RIT. She highlights their flexible asset allocation strategy, combining public equities with an impressive private investment portfolio, including stakes in innovative sectors like fintech and AI. Maggie also discusses RIT's intriguing 30% discount to NAV and the importance of partnerships in enhancing investment opportunities. Plus, she shares insights on navigating currency risks and her advice for young investors.
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ANECDOTE

Early Access To Coveted Privates

  • RIT held early private positions in high-profile tech like SpaceX and fintech, later realizing gains through exits.
  • Over the last 18 months they realized about 25% of their private portfolio through selective disposals.
INSIGHT

Dual Benchmarks Balance Risk And Growth

  • RIT runs dual benchmarks: a capital-preservation metric and an equity-growth metric to balance risk and growth.
  • That approach helped them double NAV in a decade with lower volatility than markets.
INSIGHT

Permanent Capital Enables Tactical Flexibility

  • Permanent capital plus flexible mandate lets RIT stay invested in high-conviction ideas and be tactically agile.
  • They shift between equities, uncorrelated strategies and hedging depending on market risks.
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