| As of Date | 03/28/2025 |
| Registration | SEC, Approved, 08/09/2017 |
|
|
|
| ADV Location | MIAMI, FL, United States |
| Contact Info | 305 xxxxxxx |
| Websites |
| AUM* | 4,597,137,785 27% |
| of that, discretionary | 4,597,137,785 76% |
| Private Fund GAV* | 4,597,137,785 |
| Avg Account Size | 2,298,568,893 76% |
| SMA’s | No |
| Private Funds | 6 1 |
Number of Employees 8 14%
of those in investment advisory functions 2
- Pooled investment vehicles
- Portfolio management for pooled investment vehicles
- A percentage of assets under your management
- Performance-based fees
| SEC Fund Type | Count | GAV |
|---|---|---|
| Fund TypeHedge Fund | Count6 | GAV$4,597,137,785 |
| Adviser | Hedge Fund | Liquidity Fund | Private Equity Fund | Real Estate Fund | Securitized Asset Fund | Venture Capital Fund | Other Fund | Total Private Fund GAV | AUM | #Funds | |
|---|---|---|---|---|---|---|---|---|---|---|---|
| Adviser ABDIEL CAPITAL ADVISORS, LP | Hedge Fund3.4b | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV3.4b | AUM3.4b | #Funds6 | |
| Adviser BLUE ROCK ADVISORS, LLC | Hedge Fund- | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV- | AUM1.2b | #Funds- | |
| Adviser DONALD SMITH & CO., INC. | Hedge Fund252.5m | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV252.5m | AUM4.3b | #Funds3 | |
| Adviser DAKOTA WEALTH, LLC | Hedge Fund11.7m | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV11.7m | AUM6.3b | #Funds2 | |
| Adviser HFR INVESTMENTS, LLC | Hedge Fund5.1b | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV5.1b | AUM5.1b | #Funds3 | |
| Adviser ALUA CAPITAL MANAGEMENT LP | Hedge Fund5.8b | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV5.8b | AUM2.9b | #Funds4 | |
| Adviser WATERMARK GROUP, INC. | Hedge Fund4.1b | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV4.1b | AUM4.1b | #Funds6 | |
| Adviser CRAMER ROSENTHAL MCGLYNN LLC | Hedge Fund39.0m | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV39.0m | AUM2.4b | #Funds3 | |
| Adviser HFR ASSET MANAGEMENT, L.L.C | Hedge Fund5.1b | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV5.1b | AUM5.1b | #Funds3 | |
| Adviser WEALTHSPIRE ADVISORS | Hedge Fund- | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV- | AUM3.7b | #Funds- |
| Stock Ticker | Stock Name | $ Position | % Position | $ Change | # Change |
|---|---|---|---|---|---|
| Stck Ticker303250104 | Stock NameFAIR ISAAC CORP | $ Position$1,149,966,576 | % Position28.00% | $ Change-18.00% | # Change0.00% |
| Stck Ticker78409V104 | Stock NameS&P GLOBAL INC | $ Position$854,223,748 | % Position21.00% | $ Change-8.00% | # Change0.00% |
| Stck Ticker57636Q104 | Stock NameMASTERCARD INCORPORATED | $ Position$844,553,161 | % Position20.00% | $ Change1.00% | # Change0.00% |
| Stck Ticker615369105 | Stock NameMOODYS CORP | $ Position$626,163,333 | % Position15.00% | $ Change-5.00% | # Change0.00% |
| Stck Ticker92826C839 | Stock NameVISA INC | $ Position$311,344,363 | % Position7.00% | $ Change-4.00% | # Change0.00% |
| Stck Ticker461202103 | Stock NameINTUIT | $ Position$178,305,752 | % Position4.00% | $ Change-14.00% | # Change-1.00% |
| Stck TickerN07059210 | Stock NameASML HOLDING N V | $ Position$121,618,242 | % Position3.00% | $ Change21.00% | # Change0.00% |
| Stck Ticker294429105 | Stock NameEQUIFAX INC | $ Position$36,940,320 | % Position1.00% | $ Change-1.00% | # Change0.00% |
| Stck Ticker55354G100 | Stock NameMSCI INC | $ Position$33,874,377 | % Position1.00% | $ Change-2.00% | # Change0.00% |