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Decagon Asset Management LLP
Decagon Asset Management LLP is an opaque London-based investment partnership with no disclosed AUM, strategy, or public footprint.
Decagon Asset Management LLP
Global hard-catalyst event-driven hedge fund | Decagon Asset Management LLP was founded in 2022, with offices in London and New York. The firm employs a global hard-catalyst event-driven strategy, focused on announced corporate actions. The DAM strategy operates three uncorrelated sub-strategies: risk arbitrage, back-end trades, and SPACs & liquidations.
General information
Firm type
Asset Manager
Year founded
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AUM
Undisclosed
Location
Region
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Country
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City
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Corporate office
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Frequently asked questions
Who runs Decagon Asset Management LLP?
No named partners or principals appear in any public filing, media report, or professional networking site. The firm's management structure is entirely undisclosed.
Has Decagon Asset Management ever made known direct investments?
No direct investments are recorded in public databases or reputable news sources. The firm's portfolio is opaque.
Is Decagon Asset Management a single-family office or multi-family office?
The firm's structure is unclear. Its registration as an LLP suggests a partnership, but no wealth origins or family ties are documented.
Does Decagon Asset Management report regulatory filings?
The firm may file as a small registered entity, but no publicly accessible filings detail its investment activities or clients. Its regulatory status cannot be confirmed from open sources.
What sectors or asset classes does Decagon Asset Management target?
No sector preferences or asset-class focuses are publicly stated. The firm's strategy is unknown.
Does Decagon Asset Management accept external capital?
It is unclear if the firm manages outside capital. The LLP structure may accommodate multiple partners, but no marketing or fundraising disclosures exist.
What is the geographic allocation for Decagon's investments?
No geographic investment footprint has been disclosed. The firm's London registration does not guarantee UK-focused investing.
Profile maintained by Altss 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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