Viking Global Investors is a leading global investment management firm specializing in fundamental, research-driven investing across public and private markets. Founded in 1999, the firm manages more than $53 billion in assets and focuses on generating strong, risk-adjusted returns for its investors. Viking deploys capital across multiple strategies, including public equity, private equity, and credit and structured capital, leveraging deep fundamental research across all industries. Headquartered in Stamford, Connecticut, Viking also maintains offices in New York, London, Hong Kong, and San Francisco, supporting its global investment platform.
Viking Global Investors is a leading global investment management firm known for its fundamental, research-driven approach to investing across industries and geographies.
The firm’s philosophy emphasizes deep fundamental research, disciplined risk management, and a long-term focus on generating superior risk-adjusted returns.
Headquartered in Stamford, Connecticut, Viking maintains major offices in New York, London, Hong Kong, and San Francisco, supporting its global investment platform.
INVESTMENT STRATEGIES
Public Equity (Long/Short & Long-Only) – Viking manages global equity portfolios covering approximately 900 publicly traded companies. Its strategies combine long and short positions to capture high-conviction opportunities and mitigate downside risk.
Private Equity & Hybrid Strategies – The firm invests in private and late-stage growth companies, pursuing flexible structures that bridge public and private markets to capture long-term value creation.
Credit & Structured Capital – Viking selectively invests in credit and structured capital opportunities, providing tailored financing solutions and pursuing attractive risk-return profiles across market cycles.