Asset ManagerRIA · CRD 290709Exempt Reporting AdviserPrivate Fund Adviser

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Allegro Funds

Allegro Funds is a asset manager based in Sydney, Nsw; the Altss profile covers its classification, headquarters, registration, AUM band, and key contacts for...

Allegro Funds

ALLEGRO FUNDS PTY LTD is an exempt reporting adviser in SYDNEY, NSW, established in 2018.

General information

Firm type

Asset Manager

Location

Region

Oceania

Country

Australia

City

Sydney, Nsw

Corporate office

Sydney, NSW, Australia

Sector focus

Private EquityInfrastructure

Frequently asked questions

Who runs investment decisions at Allegro Funds?

The firm does not publicly disclose individual investment decision-makers. Leadership is based in Sydney, and the firm operates with a small, experienced team focused on mid-market private equity.

How does Allegro Funds source proprietary deal flow?

Allegro Funds relies on direct relationships with business owners, industry advisors, and management teams in Australia and New Zealand. It targets off-market opportunities and avoids auction processes to secure control positions.

Does Allegro Funds participate in fund commitments or only direct deals?

The firm focuses on direct control investments in companies. It does not publicly report engaging in fund-of-funds or passive fund commitments; its model centers on active ownership and operational improvement.

What investment stages does Allegro Funds typically target?

Allegro Funds targets the mid-market stage, making control investments in established companies with stable cash flows. It seeks growth equity and buyout opportunities in infrastructure, energy, and industrials.

Which sectors does Allegro Funds explicitly avoid?

The firm avoids early-stage venture capital, technology startups, and highly cyclical consumer sectors. Its focus is on asset-intensive industries like infrastructure and energy.

How is Allegro Funds related to other Australian investment firms?

Allegro Funds is an independent firm, separate from other Australian private equity groups. It has not publicly disclosed any affiliations with other fund managers or family offices.

Profile maintained by using OSINT (open-source intelligence), regulatory filings, licensed data partners, and verified direct submissions. Read the methodology. Last updated: . Continuous refresh with full update cycles at least every 30 days.

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