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Falcon Money Management
Falcon Money Management is a London asset manager founded in 2009 focusing on uncorrelated alpha strategies across relative value and strategic credit.
Falcon Money Management
Falcon Money Management launched in January 2009 as a London-based institutional asset manager. The firm's investment philosophy centers on alternative strategies designed to deliver returns uncorrelated to broader markets, serving a client base of institutional investors. The firm's core strategy spans relative value and strategic credit, deploying capital through a hybrid model of internal management and allocations to external managers. Its focus rests on generating uncorrelated alpha rather than directional market exposure. The firm's investment menu includes alternative credit and relative value hedge fund strategies, though no specific portfolio companies or named co-investors are publicly disclosed. Falcon Money Management operates from its headquarters in London. The firm maintains regulatory authorization from the Financial Conduct Authority in the United Kingdom and the Malta Financial Services Authority, reflecting a cross-border operational capability within Europe. Its website references a RAIF-SICAV structure with Class A (USD) and Class E (EUR) share classes for its funds. No philanthropic foundations, adjacent operating businesses, or peer-network memberships are disclosed. The firm's structure combines external manager selection with proprietary internal management, creating a dual sourcing model uncommon among smaller institutional managers. Its regulated presence in both the UK and Malta suggests a deliberate European fund distribution architecture rather than a single-jurisdiction boutique posture.
General information
Firm type
Generalist
Year founded
2009
AUM
Undisclosed
Location
Region
Europe
Country
United Kingdom
City
London
Corporate office
London, United Kingdom
Sector focus
Frequently asked questions
What investment strategies does Falcon Money Management run?
The firm concentrates on alternative strategies, specifically uncorrelated alpha relative value and strategic credit. It allocates capital both to selected third-party managers and to strategies managed internally, per the firm's own description of its investment philosophy.
Does Falcon Money Management manage money directly or act as a fund of funds?
Falcon Money Management employs a hybrid approach. The firm selects and allocates to external managers for some strategies while directly managing portions of its alternative strategies internally. This dual model is designed to give the firm flexibility in pursuing uncorrelated returns.
Where is Falcon Money Management regulated?
The firm is authorized and regulated by the Financial Conduct Authority in the United Kingdom. It also holds regulatory authorization from the Malta Financial Services Authority, as stated on its website and in its Altss research record, pointing to a multi-jurisdictional European footprint.
What vehicle structures does Falcon Money Management use for its funds?
The firm's website references a RAIF-SICAV (Reserved Alternative Investment Fund – Société d'Investissement à Capital Variable) structure, with disclosure documents available for Class A (USD) and Class E (EUR) shares. This points to a Luxembourg or Malta-domiciled fund platform.
Who founded Falcon Money Management?
The firm was founded in January 2009, according to its website. However, the name of the founder or current investment leadership is not publicly disclosed on the firm's website or in available research records.
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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