Cabot-Wellington, LLC
About Cabot-Wellington, LLC
Cabot-Wellington, LLC is a Boston-based single-family office managing the wealth and diversified investment portfolio of the Cabot family. Founded in 1996, the firm focuses on long-term capital preservation and global asset allocation across various asset classes, including private equity, real estate, public equities, fixed income, hedge funds, commodities, venture capital, distressed and special situations, ESG and impact investing, infrastructure, and collectibles & art. The office oversees investments in the United States, Canada, the United Kingdom, Germany, France, Italy, Spain, Australia, Japan, China, India, Brazil, Mexico, South Korea, South Africa, Russia, Saudi Arabia, the United Arab Emirates, Singapore, and Hong Kong. The firm invests across multiple stages, including seed, early stage, Series A, Series B, growth, late stage, pre-IPO, buyout, turnaround, and distressed situations. Cabot-Wellington's investment philosophy emphasizes disciplined, long-term investment oversight, aiming to sustain generational wealth and advance philanthropic objectives. The firm has a history of supporting charitable activities through dedicated family foundations, such as the Cabot Family Charitable Trust, which makes grant awards to nonprofit organizations in Boston and contiguous communities. The trust focuses on areas including arts and culture, education and youth development, environment and conservation, health and human services, and civic and public benefit. Cabot-Wellington's commitment to philanthropy reflects the Cabot family's long tradition of generosity and public service, aligning with their investment strategy to create positive social impact alongside financial returns.
Investment Mandate
Asset Classes11
Geographical Focus
African markets1
Other stated markets19
Requirements
Open to first-time funds, Focus on long-term capital preservation, Alignment with philanthropic objectives, Diversified portfolio across multiple asset classes and stages, Geographical diversification across multiple countries and regions, Interest in both financial returns and social impact
Stated Portfolio20
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