Farallon Capital Management

Investment firm managing diverse assets

San Francisco, California, United States

About Farallon Capital Management

Farallon Capital Management manages both public and private assets for a variety of clients, including institutional investors, high-net-worth individuals, and family offices. The firm uses a detailed bottom-up fundamental analysis to identify investment opportunities and continuously updates its strategies to remain competitive in the market. With 38 years of experience and $39 billion in assets under management, Farallon aims to provide superior risk-adjusted returns to its investors. What sets Farallon apart from its competitors is its focus on aligning the interests of its employees, investors, and business partners, which fosters a collaborative culture. The firm generates revenue through management fees and performance-based incentives, ensuring that its success is linked to the success of its clients.

San Francisco, CaliforniaHeadquarters
1986Year Founded
$9,657.9MTotal Funding
UNKNOWNCompany Stage
Quantitative Finance, Financial ServicesIndustries
201-500Employees

Risks

Involvement in fossil fuels and private prisons may lead to reputational damage.
New stake in Ascendis Pharma exposes Farallon to pharmaceutical sector risks.
Financing Adani's coal port could attract criticism from environmental groups.

Differentiation

Farallon Capital employs a rigorous bottom-up fundamental analysis approach for investment decisions.
The firm invests across all asset classes, including public and private securities.
Farallon Capital aligns interests with clients through performance-based incentives.

Upsides

Increased interest in biotechnology investments boosts Farallon's growth potential.
Strategic divestments in tech sector create new investment opportunities for Farallon.
Private credit loans offer alternative investment strategies for Farallon.