Corsaire

Corsaire Asset Management Ltd is a global special situations investment manager focused on opportunistic investments across public and private markets.

The firm pursues a flexible, multi-strategy approach centered on complexity, capital structure dislocation, event-driven opportunities, and asymmetric risk/reward situations. The Manager operates without rigid sector or asset-class constraints and may allocate dynamically across equities, structured credit, convertibles, special situations, private transactions, and strategic co-investments globally.

The Manager’s investment philosophy is rooted in flexibility, disciplined underwriting, and the belief that the most attractive opportunities frequently emerge in situations where traditional capital providers are constrained by mandate, liquidity, timing, or structural complexity. Corsaire Asset Management Ltd seeks to combine public market agility with private market structuring capability, allowing the platform to pursue opportunities across both liquid and illiquid environments as market conditions evolve.

Corsaire Asset Management Ltd is structured as an institutional-quality emerging manager platform...

with an emphasis on operational discipline, independent administration, and scalable infrastructure. The firm is designed to support long-term growth across global special situations strategies while maintaining the flexibility to pursue opportunistic investments across geographies, industries, and capital structures.

WHERE COMPLEXITY BECOMES OPPORTUNITY

INVESTMENT STRATEGIES

We are a global special situations investment fund focused on opportunistic investments across public and private markets.

The Fund pursues a flexible, unconstrained mandate designed to capitalize on complexity, dislocation, structural inefficiency, and event-driven opportunities across equities, structured capital, credit, convertibles, SPAC-related transactions, and strategic co-investments. The strategy is industry agnostic and globally oriented, with an emphasis on asymmetric risk-adjusted returns and catalyst-driven value realization.

The Fund is structured as a BVI Approved Fund regulated by the British Virgin Islands Financial Services Commission and is managed by Corsaire Asset Management Ltd. The Manager operates with a flexible investment approach intended to preserve the ability to allocate dynamically across market cycles, capital structures, and geographies. The Fund may participate in liquid public securities, structured and hybrid instruments, private transactions, special situations, and selective event-driven opportunities where the Manager believes complexity or capital scarcity creates mispriced value.

Corsaire Global Opportunities Fund Ltd is intended to operate as an institutional-quality emerging manager platform with a disciplined operational framework, independent fund administration, and a scalable architecture designed to support future expansion. The platform combines opportunistic investing with a long-term emphasis on
flexibility, disciplined underwriting, and strategic optionality across global markets.

Investor Access

Corsaire is available to qualified investors and institutional counterparties.
For further information on our strategies, fund structure, and terms, please submit your details and our team will be in touch.

Contact

London

45 Pont Street
London
SW1X 0BD

BVI

bvi@corsaiream.com

CO Services (BVI) Ltd. of Rodus Building, P.O. Box 3093, Road Town,
Tortola, VG1110, British Virgin Islands

Singapore

Level 39
Marina Bay Financial
Centre Tower 2
Singapore

BVI

bvi@corsaiream.com

CO Services (BVI) Ltd. of Rodus Building, P.O. Box 3093, Road Town,
Tortola, VG1110, British Virgin Islands

Corsaire Asset Management Ltd is regulated by the British Virgin Islands Financial Services Commission (the “BVI FSC”) as an approved investment manager under the Investment Business (Approved Managers) Regulations, 2012, with certificate number IBR/AIM/26/2726. Corsaire Global Opportunities Fund Ltd is recognised by the BVI FSC as an approved fund under the Securities and Investment Business (Incubator and Approved Funds) Regulations, 2015, with certificate number SIBR/IFAF/26/0949. The BVI FSC is the financial services regulatory authority responsible for the regulation and supervision of financial services business in the British Virgin Islands.