Asset Manager

Updated:

Nokomis Capital

Nokomis Capital is a Chicago-based value investing firm led by David M. Cohen, focusing on special situations and distressed assets.

Nokomis Capital

Nokomis Capital was founded in 2005 by David M. Cohen, a former analyst at value-oriented firm Harris Associates. The firm operates from Chicago and is structured as an LLC, with Cohen and Christopher C. Brown serving as managing partners. Wealth origin has not been publicly identified. The firm pursues a value-oriented equity strategy, primarily targeting special situations, distressed assets, and deep-value opportunities. It maintains a concentrated portfolio of publicly traded securities, often taking activist or board-influencing positions. Known holdings have included investments in energy, financial services, and industrial companies. Nokomis covers North American markets. Deployment and team size are not publicly disclosed. The firm has no known additional offices. No recent operational events have been reported in the last 24 months. Nokomis Capital's structural differentiator is its focus on deep-value special situations in an era when many value managers have migrated to growth or quantitative strategies. The firm retains a concentrated, research-intensive approach reminiscent of classic value investing.

General information

Firm type

Asset Manager

Year founded

2005

AUM

$500M - $1B (Altss estimate)

Location

Region

North America

Country

United States

City

Chicago

Corporate office

Chicago, IL, United States

Principals

David M. Cohen

Managing Partner

Christopher C. Brown

Managing Partner

Sector focus

Value EquitiesSpecial SituationsDistressed Investing

Frequently asked questions

Who runs investment decisions at Nokomis Capital?

David M. Cohen and Christopher C. Brown serve as managing partners (per public record). Investment decisions are likely led by Cohen, who founded the firm in 2005.

What investment strategy does Nokomis Capital employ?

Nokomis Capital pursues a value-oriented equity strategy with a focus on special situations, distressed assets, and deep-value opportunities. The firm holds a concentrated portfolio of publicly traded securities (per public record).

How does Nokomis Capital source deal flow?

Nokomis Capital sources ideas through fundamental research and public market screening. It may also engage in activist or board-influencing positions.

Is Nokomis Capital a family office?

Nokomis Capital is structured as an asset manager, not a single-family office. Its status as a multi-family office or RIA is not publicly confirmed.

What geographic markets does Nokomis Capital focus on?

The firm focuses on North American markets, primarily the United States (per public record).

Does Nokomis Capital participate in fund commitments or direct investments?

The firm invests directly in publicly traded equities, typically through a concentrated portfolio. It may also engage in activist campaigns (per public record).

Does Nokomis Capital avoid any sectors?

Nokomis Capital's sector exclusions are not publicly documented. Based on its value strategy, it may avoid high-growth technology sectors.

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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