FOR IMMEDIATE RELEASE – New York, NY – Monday, September 16, 2019

Castle Hill Capital today announced that it was named “Best Independent Capital Introduction Provider” at this year’s HFM US Services Awards ceremony in New York on September 12th.

Over 300 people gathered for the tenth annual HFM US Services Awards to honor providers of services and solutions to the hedge fund sector that have demonstrated exceptional innovation.

“We are thrilled to be recognized as the Best Independent Capital Introduction Provider for the 5th year in a row.  The category perfectly represents the firm and service offering that we have created and the value that we offer our clients.” said Andrew Saunders, Castle Hill Capital’s President. “We’re entirely independent and have a flexible engagement model to fit the requirements of our alternative investment clients.”

“Whether it is a success-based or consultative relationship – our team, most of whom are channel or strategy specialists with 20+ years experience, are dedicated to delivering for our clients. Integrity, Transparency, Collaboration and Control continues to be our mantra. We’re looking forward to another great year.” continued Geoff Webster, Director of Operations and CFO.

This award is the fifth consecutive annual recognition for Castle Hill Capital Partners by the HFM US Service Awards.

About Castle Hill Capital Partners, Inc.

Castle Hill offers an innovative and flexible marketing platform. The firm provides a range of brokerage solutions, strategic capital introduction support and placement agent services. Castle Hill works in partnership with our clients and is a trusted marketing adviser. The firm advocates and implements a structured marketing process that combines strategic marketing counsel with specific, relevant institutional investor introductions for a small set of highly differentiated alternative investment clients.

Castle Hill is a licensed broker-dealer, registered with the Securities and Exchange Commission (SEC) and is a member of The Financial Industry Regulatory Authority (FINRA), National Futures Association (NFA) and the Securities Investor Protection Corporation (SIPC). The firm acts as the broker-dealer for over 16 registered affiliates. Additional information, including case studies about current client engagements and partner biographies, can be found at


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