Founded in 2007, our organization has established a synergistic combination of investment strategies designed to capitalize on pricing anomalies and market dislocations across distressed sectors, as well as on traditional asset classes.  Our objective is to provide our clients with an integrated investment platform, by offering innovative and complementary solutions across real estate, fixed income, consumer finance and corporate finance sectors.



We work with our clients to provide comprehensive solutions for their investment needs, creating bespoke programs to satisfy their requirements and deliver highest quality investment and risk management for sovereign and global institutional investors.



Our management team averages over twenty years of senior investment officer experience, covering multiple generations of asset and economic cycles across a wide array of investment classes. All senior management has worked in the US, London and emerging markets throughout the course of their careers, thus providing clients with a unique blend of world class advisory services.


Building Wealth

Acacia is a global multi-strategy  institutional asset management firm. We provide premier investment management banking and equity services to institutional, endowment, and eleemosynary investors worldwide.

in the news

Institutional Investors. Beta. Not for Attribution.

Acacia seeded EduTech startup Weird Science Labs to Univ of Oxford ISIS Accelerator


press releases

Acacia Multi-strategy Portfolio Highlighted in Institutional Investors Magazine

Yield Curves & Liquidity Risk

‚ÄčRedefining risk factors for post QE investment. Why Japanese Yen depreciation has failed..