Koyote Capital is a multi-strategy multi-manager investment firm built for all market environments. Our goal is to provide consistent performance through differentiated strategies, disciplined risk management, and a relentless pursuit of edge.
Introduction
Targeting high-conviction opportunities as they emerge across shifting market regimes.
Snapshot
Agile by Design
With a platform of ~40 internal and external portfolio managers operating independently, Koyote Capital delivers diversified exposure to differentiated, high-conviction strategies. Our model is built to maximize alpha while naturally dampening portfolio-level volatility — allowing us to perform across a wide range of market regimes.
2009
Year founded
40+
Portfolio managers and traders
5+
Years average manager tenure
OUR STRATEGIES
Koyote Capital deploys a multi-strategy investment framework designed to capitalize on mid to high frequency trading opportunities across all asset classes. Each strategy operates within defined risk parameters, enabling us to optimize for alpha while preserving near push-button liquidity across the entire portfolio. This structure allows for dynamic capital allocation across four distinct strategy pillars, each contributing to the firm’s ability to perform across varying market regimes.