Overview

Regal Funds Management is a multi-award winning specialist alternatives investment manager, pioneering the hedge fund, private markets and alternatives industry in Australia since it was founded in 2004

What started as a team of four, trading mostly long/short equities out of a small office in Sydney, is now a team of around 190 people working together within the Regal Partners group to manage over A$20.8 billion of investor capital across offices around Australia and offshore1. Four times awarded ‘Australian Alternative Investment Manager of the Year2’, Regal has expanded its strategies to include private markets, real & natural assets (via Kilter Rural, Attunga Capital, Argyle Group, Ark Capital Partners) and credit & royalties (via Regal Funds, Merricks Capital and Taurus Funds Management), in addition to our heritage in long/short equities (along with PM Capital).

Our multi-asset investment capability leverages Regal’s operational capabilities, scale and infrastructure.

1. Proprietary technology and operational infrastructure – Proprietary operational, risk and trading infrastructure provides an institutional-grade, best-in-class operating and execution platform for our investment team. Supported by real-time risk monitoring and portfolio management tools, over 95% of global exchanges are tradeable, with a 5000+ daily trade capacity.

2. Extensive market relationships – Deep relationships across corporate, advisory and sell-side partners provide extensive access to global liquidity points, origination, corporate access, deal flow, research and expert networks. Our investment team can access 200+ research providers and are supported by a dedicated dealing team accessing global markets from offices in Sydney and offshore. 

3. Multi-asset product development, innovation and access – The scale and sophistication of the platform enables the range of investment capabilities to be structured and accessed via a broad number of pooled and single investment vehicles, both in Australia and globally.

View capabilities

1 Management estimate of FUM for 31 December 2025 (shown on a 100% FUM ownership basis) is net of distributions and reinvestments. FUM (including 100% of Taurus Funds Management, Attunga Capital, Kilter Rural, Argyle Group and Ark Capital Partners) is rounded, unaudited, and includes non-fee-earning FUM but excludes non-fee-earning commitments. FUM for Merricks Capital includes the net asset value of funds across various strategies managed by Merricks Capital and, in respect of single asset investment opportunities, the committed capital from co-investors. Taurus Funds Management FUM is presented on the basis of fee-earning capital. End of period FUM data is shown post distributions (net of reinvestment). Past performance is not a reliable indicator of future performance.


2 Australian Alternative Investment Manager of the Year, awarded at 'Hedge Funds Rock' 2019, 2016, 2014 and 2011.