Built for Inefficient Markets

Accelwire Inc. is an asset manager focused on less-followed equities. We pursue persistent mispricings with rigorous research, patient execution and capacity-aware risk control.

Opportunities I: Closed Aug 2024 Buyout I: Closed Oct 2025 Opportunities II: Opening TBA
Assets Under Management
$19.8M
Annualized Return
22%
Focus
Microcap
Performance figures are presented net of fees and expenses for the Accelwire Microcap Opportunities Fund I and are subject to change. Past performance is not necessarily indicative of future results.
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Our Philosophy

We are a research‑led asset manager focused on durable, risk‑adjusted returns. Our discipline combines deep fundamental work, institutional portfolio construction and centralized risk management—executed with liquidity awareness and long‑term alignment.

Research & Origination

Proprietary research, direct engagement and data inform high‑conviction ideas across our focus universe.

  • Fundamental depth and primary diligence
  • Structured frameworks for variant views

Portfolio Construction

Capital allocation reflects return on risk, liquidity and correlation, not headline upside alone.

  • Exposure‑aware sizing and diversification
  • Disciplined entry/exit and review cadence

Risk & Governance

Centralized risk oversight, scenario analysis and clear limits aim to protect capital and compounding.

  • Independent risk monitoring and controls
  • Liquidity‑aware, footprint‑minimized execution

Client Partnership

Alignment and clarity underpin long‑term relationships with institutions and families.

  • Capacity awareness and fee alignment
  • Decision‑useful, transparent reporting

Differentiators & Capabilities

What sets us apart is simple: thoughtful research, patient execution and alignment that puts capital preservation and compounding first.

Capacity before capital

We cap strategy size and grow only when it won’t dilute edge; we prefer right‑sized over bigger.

Skin in the game

Principals invest alongside clients; decisions reflect owners, not product goals.

A narrow, repeatable edge

We focus on less‑followed situations where quality work is scarce.

“We differentiate on discipline—not theatrics.”
Focus
Underfollowed by design

Smaller, overlooked markets where quality work is scarce.

Execution
No forced trades

We avoid noise and attention risk; we don’t chase screens.

Risk
No leverage dependence

Returns target idiosyncratic insight, not borrowed beta.

Alignment
Client‑first structure

Capacity‑aware, co‑invested and transparent terms.

Capacity aware Long‑term horizon Transparent reporting Aligned incentives Low turnover Principal co‑invest No leverage reliance Concentrated

The Firm

Accelwire Inc. sponsors private, closed-end investment funds available solely to eligible investors. Accelwire Microcap Opportunities Fund I (LP) is closed to new capital as of August 2024. Our new fund, Accelwire Microcap Buyout Fund, closed in October 2025 with $18.1 million AUM—a private equity fund focusing on LBOs of distressed SMEs, extending our event-driven micro-cap discipline into control investments focused on short-duration buyouts and complex transitions in smaller enterprises. The opening of Opportunities II is to be announced.

Principles

Stewardship • Sustainability • Active Ownership

We invest with purpose—integrating material ESG considerations, engaging constructively with boards and management, and supporting practices that strengthen communities and the environment while building long‑term value.

Communication

Clear, decision‑useful reporting

We emphasise drivers of value, milestones and risk—not noise. Cadence reflects what is useful, not merely frequent.

Operations

Institutional controls

Independent administration, right‑sized audit/tax, and policies proportionate to the strategy.

Mission

Changing markets for the better

We advocate for transparency, alignment and durable governance where we invest.

Active ownership

Constructive engagement with boards and management on strategy, capital allocation and sustainability.

Partnership

Long‑term alignment with clients and stakeholders; clarity in intent and reporting.

Capability

A focused team with institutional processes, tuned to smaller and less‑liquid markets.

Sustainability

Practical initiatives that encourage responsible practices and resource efficiency across our investments.

Governance

Board accountability, alignment and transparency that support durable value creation.

Contact

Qualified prospective investors may contact Investor Relations directly.

Get in touch

We’d love to hear from you

For confidential enquiries from qualified prospective investors, please contact Investor Relations on 302-310-9512 or email us.

Email Investor Relations

Our locations

We have a presence in the following locations:

Arizona
1064 E Madison St, Snowflake, AZ 85937
Washington, D.C.
1901 Pennsylvania Ave NW, Suite 900, Washington, D.C. 20006
Delaware
8 The Green, Suite R, Dover, DE 19901