Blomstra Capital | Private Family Office
Private Family Office

Capital, engineered
for resilience.

Blomstra Capital deploys permanent capital across global public markets — macro-driven, research-informed, built the way infrastructure is built: to survive the failure mode, not just the forecast.

A private family office. We do not manage third-party capital.

Founded 2017 Stockholm Not open to external capital
9+
Years of Active Stewardship

Continuous deployment since 2017

Investment Philosophy

How We Think About Public Markets

We do not time markets. We position for structural shifts.

Sustainable returns come from reading the macro regime correctly, not from predicting next quarter’s earnings. Every allocation is informed by proprietary research from Blomstra Insights — macro indicators, sector rotation, and risk signals, not consensus or sell-side data.

Income vs. Growth

Balanced against the prevailing macro environment, not a fixed ratio.

Sector Concentration

Concentrated where structural conviction is high — not spread thin by default.

Risk Management

No leverage. Sized to survive several cycles, not to win one.

Cornerstones

Four Principles

REF.01

Anti-Fragile Over Optimal

Systems that gain from disorder beat systems merely optimized for current conditions.

REF.02

Capital Follows Power

Capital concentrates where geopolitical and technological power concentrates.

REF.03

Real Assets Compound Longest

Tangible, income-producing assets preserve wealth across generations.

REF.04

Ignore Noise, Track Structure

Identify decade-spanning shifts — ignore the 24-hour news cycle.

Allocation

Portfolio

Three holdings, one circuit — liquidity feeds conviction, conviction feeds income.

Asset Class · Core

Public Equities

Global public market positions — concentrated holdings informed by macro trends, sector rotation, and geopolitical signals.

Global Concentrated Macro-driven
Asset Class · Supporting

Income Strategies

Dividend-paying and income-generating positions, structured for cash flow without sacrificing long-term growth.

Yield Cash flow
Asset Class · Reserve

Liquidity Management

Cash and liquid reserves, held for flexibility and to deploy during periods of market dislocation.

Dry powder Deployment capacity
Capital Structure

Permanent. Patient. Independent.

100%
Permanent Capital

No leverage. No external LPs. No mandates.

9+
Years of Stewardship

Continuous deployment since 2017

0
External Capital

We do not manage third-party money

Blomstra Capital is a private family office. Performance figures are not publicly disclosed.

Leadership

Principal

Zakaria Khan

Zakaria Khan

Managing Director & Principal

Former EU FP7 Researcher & Ericsson Systems Architect

9+ years of capital allocation experience. A decade architecting global telecom infrastructure. Absolute capital independence.

Serious Inquiries Only

Contact

Blomstra Capital is not open to external capital. We welcome inquiries from institutional partners and family offices exploring collaboration.

hello@blomstracapital.com

Stockholm, Sweden

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