how we invest
Focused on Contractual Cash Flows, Downside Protections Embedded in Structure, and Disciplined Risk Controls
ACI’s core investment strategies are designed to capture differentiated return drivers—combining credit, contractual/event-driven cash flows, and special situations to reduce reliance on traditional markets.
Founder + Management Team Origination
Cross-Industry Connectivity
30+% Inbound Deal Flow
160+ Investors & Advisors
30 Preferred Counterparties
The result has been a consistent pipeline of proprietary opportunities, sourced through relationships rather than broad intermediation.
From Sourcing to Execution
ACI’s investments help solve challenges for our counterparties while seeking consistent risk-adjusted returns for our investors.
Public &
private Markets
Hedging against Private Market Portfolio
Equity Markets Trading Opportunities
Structured Products
Synthetic Hedged Block Trades
Distressed Sales
PE Investments in Emerging Business Sectors
Op Co. Investments
Mid/Late Stage IPO
Secondary Shares
Structured debt & Collaterized Lending
Private Market
ESOP
Carried Interest and GP Lending Facilities
Receivables
Factor Receivables
Account Receivables
Property Assets
Real Estate
Sourcing Deals
A Network Driven Origination Advantage
Self-Storage
GP Financing
Corporate Lending
Bridge Loan Financing
Mezzanine
Preferred Debt with Equity Kickers
MASS TORT/LITIGATION FINANCING
Litigation Finance
Plaintiff Lending
Law Firm Collateralized Loans
Mass Tort Funding
US and International Case Funding
Discuss Investment Access
Connect with ACI to request performance information and discuss current opportunities across the platform, including Special Class participation where applicable.