Corigliano Investment Advisers
Overview
Corigliano Investment Advisers is an alternative asset manager focusing exclusively on the energy sector. The firm was founded in 2022 by Mark Corigliano, who brings nearly 30 years of experience in hedge fund management, private equity, academia, renewable energy operations, and petroleum engineering. Supported by a team of senior analysts with deep roots in the energy sector, the firm aims to provide investors with exposure to the North American energy sector in a risk-controlled manner by selecting well-managed and positioned companies while shorting structurally disadvantaged and over-valued companies in both traditional and new energy sectors. The firm's investment strategy involves taking long and short equity positions in the oil, gas, and energy transition sectors on North American exchanges, augmented by positions in commodity futures and options on an opportunistic basis. With a net exposure typically between 25% and 45%, Corigliano Investment Advisers seeks to generate substantial risk-adjusted returns with lower volatility than sector ETFs, unconstrained by political agendas and emphasizing risk control. The firm's investment philosophy is to provide institutional-quality management for investors seeking disciplined energy exposure, employing fundamental research, proprietary analytics, and technical expertise to identify companies positioned for growth, while shorting structurally disadvantaged or overvalued entities in both traditional and new energy areas. The firm's portfolio includes investments in various energy companies across exploration, production, oil field services, midstream, downstream, and selective international companies, with a careful approach to renewables. The firm's latest 13F filing as of June 30, 2025, disclosed 43 equity positions with a total market value of $318 million, indicating a diversified portfolio within the energy sector. The firm's offices are located in Raleigh, North Carolina, and Dallas, Texas, serving clients across the United States and Canada.
Investment Focus
- Accredited investors only
- Long-term investment horizon of 5-10 years
- Interest in energy sector investments
- Ability to withstand market volatility
- Commitment to risk-controlled investment strategies
- Alignment with firm's investment philosophy
- Compliance with regulatory requirements
- Willingness to participate in both long and short equity positions
- Understanding of energy market dynamics
Portfolio Companies
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Unlock full contacts →Frequently asked questions about Corigliano Investment Advisers
What sectors does Corigliano Investment Advisers invest in?
Corigliano Investment Advisers invests in Financial Services, Technology, Healthcare, Energy, Consumer Goods and Real Estate, and is based in North Carolina, United States. Corigliano Investment Advisers is listed as a private investment firm in the ConnectSafely investor database.
What stage does Corigliano Investment Advisers invest at?
Corigliano Investment Advisers backs companies at Seed, Early Stage, Series A, Series B, Growth and Late Stage, writing cheques of 1M - 50M.
Which regions does Corigliano Investment Advisers invest in?
Corigliano Investment Advisers invests across United States and Canada.
What companies has Corigliano Investment Advisers invested in?
Corigliano Investment Advisers's portfolio includes Chevron Corp., Exxon Mobil Corp., Devon Energy Corp., California Resources Corp., ConocoPhillips, Cenovus Energy Inc., Occidental Petroleum Corp. and Coterra Energy Inc..
Last updated · Source: ConnectSafely investor database



