CLC Asia
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CLC Asia Funds
Our method goes beyond merely providing capital and waiting for an outcome. CLCAsia is an actively managed litigation portfolio. We do not provide funding and wait for an outcome, nor do we buy a portfolio of litigation outcomes from a law firm. We take over and manage our cases. This method provides significant advantages over typical Litigation Financing arrangements as not only do we completely lift the burden of litigation from the litigating company, we are in charge of the process, including when to settle. Active management means we control the largest risk and time variables in Litigation Finance.
Advantages of CLCAsia Over Other Alternative Investments
- Quick resolution compared to US legal system
- Arbitration is king
- Series A returns plus for Mezzanine timeline
- Market ambivalent. No matter what’s going on people sue, e.g., we don’t need hot IPO market, low interest rates, active M&A market, bull market, etc.
- Don’t need black swans to get outsized returns
- Defined return window. Will not be holding positions for 5-10+ years
Portfolio Composition
- Portfolio holdings/investments: Depending on fund size, we are targeting 2-3 cases per year.
- Geographical Region: Given our focus on arbitration, most of our cases will originate in Singapore and Hong Kong, then the broader APAC region. However, the Fund may explore cases globally within certain parameters, but in no case, will non-APAC cases compose more than 15% of the Fund.
- Case Size: Depending on Fund size, our target investment range, per case, will be between $1mm-$3mm USD.