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King Street Capital Management

Institutional investor

New York

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Investment thesis

King Street pursues opportunities across asset classes, sectors, and geographies where it believes it has an edge, combining research-intensive fundamental analysis with tactical trading and strong sourcing. The firm seeks returns by identifying dislocations and mispriced opportunities up and down the capital structure, executing with conviction and dynamically rotating capital across portfolios. Its expertise centers on credit, restructurings, bankruptcies, and other event-driven situations, and it emphasizes bottom-up research with rigorous downside analysis. Strategies span multi-strategy credit, a global drawdown strategy, tactical and opportunistic credit, real estate, and CLOs/CBOs.

Invests inSector AgnosticGlobalNew York

Source: firm website, verified Aug 6, 2026.

HQ
New York, US
Instruments
Debt
Founded
1995
AUM
$30B

Fund performance Β· per public LP disclosures

as of Dec 2024
FundVintageCommittedNet IRRTVPIDPI
King Street CapitalLPs: Florida State Board of Administration, Daniels Fund, Annie E. Casey Foundation +2 more2011β€”2.4%0.04xβ€”

Source: public limited-partner disclosures (CalPERS, CalSTRS). Net IRR / TVPI / DPI as reported by the limited partner; a fund's early-year IRR is an interim estimate (J-curve).

Frequently asked questions

What sectors does King Street Capital Management focus on?
King Street Capital Management focuses on Sector Agnostic.
Where is King Street Capital Management located?
King Street Capital Management is headquartered in New York, US.

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