Asset Manager

Updated:

Figment Capital

Figment VC is a US-based fund manager headquartered in Park City. The firm employs a Venture Capital strategy. It has a staff of 130, including 4 investment...

Figment Capital logo

Figment Capital

Figment VC is a US-based fund manager headquartered in Park City. The firm employs a Venture Capital strategy. It has a staff of 130, including 4 investment professionals.

General information

Firm type

Generalist

Year founded

2021

Location

Region

North America

Country

United States

City

San Francisco

Corporate office

San Francisco, United States

Additional offices

Hong Kong · Paris · Kyiv · Shanghai · Park City · New York · Tortola

Sector focus

Web3Digital AssetsEnterprise SoftwareFinTech

Frequently asked questions

What is Figment VC's investment thesis?

The firm invests in a future where all finance operates on-chain — open, global, and always on. It backs the teams building blockchain-based rails, markets, and consumer applications. The goal is to make distributed ledgers the default system for creating, trading, and owning value.

What stages does Figment VC target?

Figment VC's strategy runs from pre-seed and seed rounds through expansion and growth stages. It deploys capital into early-stage startups building Web3 infrastructure as well as later-stage companies scaling that technology.

How does Figment VC's geographic footprint affect its sourcing?

The firm maintains offices in eight cities spanning North America, Europe, and Asia. This distributed model embeds investment resources in distinct regulatory and developer communities — from the crypto hubs of San Francisco and Hong Kong to the engineering talent markets in Kyiv and Shanghai — enabling direct local sourcing.

Is Figment VC structured as a single-family office?

No. Figment VC operates as a generalist asset manager, deploying third-party capital through a fund structure, not managing a single family's wealth.

Does Figment VC disclose its assets under management?

No. Figment VC does not publicly disclose its AUM, total committed capital, or fund sizes. Its financial scale is not verifiable through public sources.

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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