Alternative investment management

Investment Philosophy

We maximize investor returns through direct asset ownership and streamlined fee structures that eliminate intermediary costs. Our focus on real assets and specialized private credit delivers portfolio diversification, regular income, and inflation hedging benefits that traditional investments cannot provide.

Targeted Asset Classes

Mineral Rights

We target mineral and royalty assets in premier U.S. oil and gas basins with strong operator alignment, proven resource potential, and a high likelihood of near-term development and cash flow generation.

Legal Finance

We focuses on later-stage, high-merit commercial legal opportunities globally. In particular, we specialize in energy, technology, media, telecom, healthcare, financial services, and international arbitration. Our targeted approach and rigorous due diligence process consistently identify cases with compelling risk-adjusted return profiles worldw

Climate

We invest in scalable climate solutions—spanning carbon capture, renewable energy, and energy efficiency—that are positioned to benefit from surging power demand and growing institutional allocations to the energy transition. Our approach is designed to generate meaningful environmental impact alongside compelling risk-adjusted returns.

Real Estate

We target institutional-quality real estate assets that become temporarily mispriced during market dislocations.  Our team identifies opportunities where patient capital and active asset management can unlock significant long-term value.

The Siltstone Advantage

Siltstone’s management team has broad and deep experience in the private equity, private credit and legal sectors.  

Deep Sector Expertise: Our management team combines extensive private equity, private credit, and legal sector experience with specialized knowledge across our target markets.

Portfolio Construction: We’ve built a diversified portfolio of senior-ranking real assets and private credit investments designed to deliver consistent income with asymmetric upside potential.

Risk Management: Our active management approach and comprehensive due diligence have consistently protected capital while generating attractive returns, even during periods of market stress.

Proprietary Deal Flow: Our proven investment process and industry relationships enable us to source unique opportunities with favorable risk-reward profiles that institutional investors cannot access elsewhere.