CORBIN CAPITAL PARTNERS, L.P.

RIASEC RegisteredEst. 2004
Total AUM
$11.2B
Discretionary
$11.1B
99% of AUM
Avg account
$416M
Accounts
27
Employees
56
Advisory reps
5

Firm details

Headquarters
New York, New York
CRD number
130819
Registered since
July 16, 2004
Custodians
THE NORTHERN TRUST INTERNATIONAL BANKING CORPORATION, CITCO GLOBAL CUSTODY NV, STATE STREET BANK AND TRUST COMPANY
Fee structure
Percentage of AUM, Performance Based Fees
Client types
  • Pooled Investment Vehicles56.99%
  • Other24.2%
  • Pension & Profit Sharing Plans18.82%
Services
Portfolio Management for Pooled Investment VehiclesPortfolio Management for Institutional ClientsSelection of Other Advisers

Firm profile

FINTRX

Overview

Corbin Capital Partners, L.P. operates as a multi-strategy manager that blends pooled vehicle management with external manager selection. The firm runs both hedge fund and private equity strategies, and also acts in commodity pool/CTA roles and as sponsor or general partner of pooled vehicles. Investment activity emphasizes alternative and illiquid strategies — private funds, private credit, real estate and other non-public exposures — while maintaining a limited public equities sleeve. Fee arrangements combine asset-based fees with performance-based compensation, consistent with the firm’s active management of pooled products and institutional client base. Corbin Capital’s public equity trading appears modest relative to total assets, with the firm using listed stocks and ETFs primarily as a liquidity overlay or tactical component alongside larger private fund allocations. The firm’s operational profile includes selecting third‑party managers and providing portfolio management for pooled investment vehicles and institutional clients.

Assets & Accounts

Public Holdings

Investments & Alternatives

Location & Offices

Investment profile

FINTRX

Traditional investments used

Alternative investments used

Active ESG investor

Technology & operations

FINTRX

CRM & tech providers

TAMPs used

Clients

FINTRX

Client base

Client personas

Asset composition

Asset composition: Private Funds 91%, Cash & Cash Equivalents 3%, Other 3%91%
  • Private Funds91%
  • Cash & Cash Equivalents3%
  • Other3%

Owners & executives

2 of 2
  • JOHN MAGUIRE

    Chief Compliance OfficerCRD 4672959

  • TRACY MCHALE STUART

    Chief Executive OfficerCRD 4050592

Contacts

3 of 3
  • CRAIG BERGSTROM

    Managing PartnerCRD 2418664

  • DANIEL FRIEDMAN

    Senior Partner, General CounselCRD 4965374

  • STEVEN CARLINO

    PartnerCRD 2294033

Wealth teams

FINTRX

Newly hired reps

FINTRX

Recent M&A activity

FINTRX

Recent filings

FINTRX

Awards

FINTRX

ETF holdings

1 of 2

Active vs passive

$20.4M in ETFs

Passive

100%

$20.4M

Active

0%

$0

ETFProviderStyleCategoryValueShares% of portfolio
ISHARES IBOXX $ HIGH YIELD CORPORATE BOND ETF (HYG)BlackRockPassiveHigh Yield Bond$10.2M129,55050.06%

Location

Primary office

New York, NY

NEW YORK

Location

New York, NY

Headquartered in New York, NY, anchoring the New York-Newark, NY-NJ-CT-PA metro in the Northeast.

Metro area
New York-Newark, NY-NJ-CT-PA
Region
Northeast
County
NEW YORK
Address
575 Madison Ave
Time zone
ET (UTC-5)
Office locations

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Source: FINTRX private wealth data intelligence

Intelligence for Private Wealth