# Robotti & Company Advisors

Robotti & Company Advisors is an Asset Manager based in New York, United States.

## Overview

- **Organization type:** Asset Manager
- **Headquarters:** New York, United States
- **Region:** North America
- **Address:** New York, NY, United States
- **Founded:** 1983
- **Assets under management:** Undisclosed
- **Website:** robotti.com

## Regulatory record

- **CRD number:** 128093
- **SEC file number:** 801-60314
- **Registration status:** Registered
- **Reports private funds:** Yes
- **IAPD record:** https://adviserinfo.sec.gov/firm/summary/128093

## About

ROBOTTI & COMPANY ADVISORS, LLC is an SEC-registered investment adviser in NEW YORK, NY, registered since 2001. The firm manages approximately $950 million in regulatory assets. It employs 18 staff members and 14 investment advisers.

## Sectors

- Energy Transition & Renewables
- Industrial Tech
- Real Estate

## People

- Robert E. Robotti — President, Chief Investment Officer

## Questions

### Who makes the investment decisions at Robotti & Company?

Robert E. Robotti serves as President and Chief Investment Officer and is the central decision-maker on all investment positions. The firm has been run by him since its founding in 1983 and maintains a lean team of research analysts who support the deep-value idea generation process. There is no large investment committee structure — final authority rests with Robotti.

### Does Robotti & Company invest in private companies or only public equities?

Robotti & Company invests almost exclusively in publicly traded equities, though its posture often resembles private-equity investing given the illiquidity and size of the micro-cap positions it takes. The firm does not operate a formal private-equity fund or venture-capital arm. Its primary vehicles are separately managed accounts and the Robotti Global Fund.

### How concentrated is a typical Robotti & Company portfolio?

The firm runs a high-conviction, low-turnover portfolio. Public filings and the firm's own disclosures suggest a strategy that rarely holds more than 25 to 30 positions at a time, with the top 10 holdings often representing the majority of assets. This concentration reflects a research process designed to find a small number of deeply undervalued situations rather than to replicate any index.

### What is Robotti's investment thesis around energy and marine services?

Bob Robotti has argued publicly since at least 2021 that the global energy transition will require massive capital expenditures in logistics, shipping, and offshore infrastructure — creating a multi-year demand cycle for the out-of-favor marine and energy-services companies he owns. Positions in firms such as Tidewater and SEACOR Marine reflect a bet that the supply of vessels will tighten against growing demand for offshore wind installation, traditional energy logistics, and related industrial activity.

### Does Robotti & Company participate in fund commitments or co-investments alongside other managers?

Robotti & Company does not operate as a fund-of-funds and does not allocate capital to external managers as part of its core strategy. The firm invests directly in public equities. However, Bob Robotti has occasionally participated in public-equity co-investment structures and club-style deals in the small-cap space when they align with the firm's concentrated-value approach.

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Last updated: 2026-06-03T20:00:00.000Z

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