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Satori Capital
Satori Capital was established in 2008 as a Texas-based manager. It operates Satori Alpha as a fund of hedge funds vehicle while maintaining a private equity...
Satori Capital
Satori Capital was established in 2008 as a Texas-based manager. It operates Satori Alpha as a fund of hedge funds vehicle while maintaining a private equity parent that deploys into sustainable businesses. The firm allocates across private equity buyouts, growth equity, and hedge fund strategies including long/short equity and sector-specific mandates in technology, healthcare, and energy. Confirmed investment types include direct co-investments and SPVs alongside fund commitments. Geographic focus centers on the United States and broader North America. AUM stands at $696 million. The firm maintains an ESG policy grounded in conscious capitalism principles that emphasize stakeholder value. No additional offices or named adjacent vehicles are recorded. Satori Capital combines fund-of-funds access with direct private equity deployment inside a single platform, allowing allocation across both liquid hedge strategies and illiquid buyout and growth positions.
General information
Firm type
Hedge Funds
Year founded
2008
AUM
696 (Altss estimate)
Location
Region
North America
Country
United States
City
Dallas
Corporate office
2501 North Harwood Street, 20th Floor Suite 2001, Dallas, TX, United States, 75201
Sector focus
Frequently asked questions
Who runs investment decisions at Satori Capital?
No named principals or CIO are disclosed in available records.
Does Satori Capital participate in fund commitments or only direct deals?
The firm runs both fund-of-funds commitments and direct co-investments or SPVs.
What investment stages does Satori Capital typically target?
Stages include buyout, growth, late stage, and Series B.
Where does the underlying wealth come from?
Wealth origin is not publicly disclosed.
What is Satori Capital's known posture on co-investments alongside external GPs?
Direct co-investments and SPVs form a confirmed part of the investment program.
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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