Independent investment thinking since 1992

Independent thinking for complex markets.

Culross Global brings a long-term, research-led perspective to alternative investment management. We focus on identifying differentiated sources of return, building resilient portfolios and working closely with professional investors whose objectives demand more than conventional market exposure.

30+ yearsInvestment heritage
FRN 155592FCA reference
02736036Companies House
LondonRegistered office
About Culross

A specialist heritage in alternative investment management.

Culross Global Management Limited was incorporated in 1992. The wider Culross business has developed around alternative investment expertise, macro and thematic research, manager selection, portfolio construction and professional investor solutions. The investment philosophy emphasises independent analysis, diversification by return driver and a disciplined understanding of downside risk.

Our purpose

Clarity, resilience and alignment.

We seek to understand the underlying economic drivers of investments rather than relying solely on asset-class labels. This supports portfolios designed around client objectives, liquidity needs, risk tolerance and the interaction between strategies across changing market regimes.

What defines our approach
01
Independent judgementResearch and portfolio decisions are grounded in a long-term investment process rather than short-term market consensus.
02
Macro-aware portfolio constructionWe consider how growth, inflation, policy, liquidity and market structure can influence strategy behaviour across cycles.
03
Alternative sources of returnWe evaluate specialist managers and strategies that may offer differentiated return streams beyond traditional long-only exposures.
04
Professional client focusSolutions are designed for institutional, professional and other qualifying investors, with emphasis on transparency and appropriate risk framing.
Capabilities

Investment solutions built around objectives, not products.

Our work spans portfolio management, alternative investment research and professional investor advisory. Where services are provided by another Culross group entity, the relevant entity and regulatory status should be confirmed in the applicable engagement documentation.

01

Alternative investment portfolios

Research, selection and portfolio construction across specialist alternative strategies with attention to diversification, liquidity, drawdown behaviour and manager-specific risk.

02

Macro & thematic allocation

A top-down framework for interpreting economic regimes and identifying opportunities that may not be captured by conventional benchmark-led allocation.

03

Manager & fund research

Qualitative and quantitative due diligence focused on investment edge, process repeatability, organisation, risk controls, portfolio transparency and operational robustness.

04

Bespoke portfolio solutions

Portfolio design for qualifying professional clients with tailored risk and return objectives, implementation constraints, reporting needs and governance requirements.

05

Portfolio review & advisory

Independent review of existing portfolios, including asset allocation, manager concentration, liquidity, risk factor exposure and opportunities to improve structural diversification.

06

Group platform capabilities

The wider Culross group supports pooled and segregated investment structures. Availability depends on investor classification, jurisdiction and the regulated entity providing the service.

Investment approach

Understand the drivers. Build for the regime.

Alternative investments can behave very differently depending on the economic environment. We therefore look beyond headline asset-class diversification and focus on the underlying drivers of return and risk.

1
Frame the environmentAssess growth, inflation, monetary policy, liquidity, positioning and structural themes.
2
Identify differentiated opportunitySeek strategies and managers whose return engines are understandable and not wholly dependent on market beta.
3
Construct deliberatelyCombine exposures based on expected behaviour in stress as well as in normal conditions.
4
Monitor continuouslyReview thesis, implementation, liquidity and concentration as markets and manager portfolios evolve.
Company

A UK investment management company with a long operating history.

The corporate information below reflects publicly available Companies House and FCA records for Culross Global Management Limited.

CULROSS GLOBAL MANAGEMENT LIMITED
02736036
Active
30 July 1992
8–10 Hill Street, London, England, W1J 5NG
SIC 66300 — Fund management activities
155592
culrossglobal.shop
Contact

Start a professional conversation.

For enquiries concerning Culross Global Management Limited, professional investor services, company information or website matters, contact us using the details shown here.

Please do not send account credentials, bank details or other sensitive information by unencrypted email.

8–10 Hill Street
London, England W1J 5NG
United Kingdom
Important information: Investment values and income can fall as well as rise and investors may receive back less than invested. This website is for general information only and does not constitute investment, legal or tax advice, an offer, solicitation or personal recommendation. Any regulated service is subject to investor eligibility, jurisdiction, product documentation and the permissions of the entity providing that service. Retail investors should not rely on this website as a basis for an investment decision.