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Adviser Profile

As of Date 03/26/2024
Adviser Type - Large advisory firm
Number of Employees 11 10.00%
of those in investment advisory functions 6
Registration SEC, Approved, 5/4/2018
AUM* 623,105,628 0.02%
of that, discretionary 623,105,628 0.02%
Private Fund GAV* 623,105,628 24.66%
Avg Account Size 124,621,126 0.02%
SMA’s No
Private Funds 5
Contact Info (61 xxxxxxx
Websites

Client Types

- Pooled investment vehicles

Advisory Activities

- Portfolio management for pooled investment vehicles

Compensation Arrangments

- A percentage of assets under your management
- Fixed fees (other than subscription fees)
- Performance-based fees

Recent News

Reported AUM

Discretionary
Non-discretionary
658M 564M 470M 376M 282M 188M 94M
2018 2019 2020 2021 2022 2023

Private Funds



Employees

Private Funds Structure

Fund Type Count GAV
Fund TypePrivate Equity Fund Count5 GAV$623,105,628

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Brochure Summary

Overview

Lincoln Peak Capital Management, LLC (the “Adviser”), a Delaware limited liability company formed on May 8, 2008, provides investment advisory services to private funds (collectively, the “Funds” or “Advisory Clients”) that make equity investments in asset management firms. Such Funds include the following: Lincoln Peak Capital, LLC (“LPC, LLC” or the “Company”) - Beginning in June 2018, all new investment activity by the Adviser occurs through LPC, LLC. Special Purpose Vehicles (the “SPVs,” each an “SPV”) – Prior to June 2018, the Adviser created, and continues to advise, the following private investment funds that (i) each made investments in a single company, and (ii) have not made any new investments since the formation of LPC, LLC:
• LPC ACA, LP
• LPC Harvest, LP
• LPC London, LP
• LPC Westchester, LP Affiliates of the Adviser serve as general partners of the SPVs (each, a “General Partner”). The Adviser serves as investment manager (the “Manager”) to LPC, LLC. The principal owners of the Adviser are Seth W. Brennan and Anthony H. Leness. Information pertaining to the Adviser can be found in the Adviser’s Form ADV Part 1 as well as in this Form ADV Part 2A. The Funds are exempt from registration under the Investment Company Act of 1940, as amended (the “1940 Act”), each of which issued securities that are not registered under the Securities Act of 1933, as amended (the “Securities Act”). The Adviser provides
day-to-day management and advisory services to each Fund and its General Partner (as applicable). The General Partner or Manager of each Fund has complete discretion and exclusive responsibility and authority for all investment making decisions of such Fund. Each Fund’s investment objectives and/or parameters are set forth in its respective private placement memorandum (each, a “Memorandum”) and limited partnership agreement or limited liability company agreement, as applicable (each, a “Partnership Agreement” or “LLC Agreement,” as applicable, and together with the Memorandum, the “Fund Documents”) provided to the limited partners or members, as applicable, in such Fund (the “Investors”). The Adviser tailors the advisory services for each Fund based on such Fund’s investment objective and investment strategy, including guidelines regarding the types of securities such Fund will acquire and portfolio limits (if any). However, the Adviser does not tailor advisory services to the needs of individual Investors, and the Investors may not impose restrictions on investing in certain securities or types of investments. The services provided by the Adviser to each Fund are further described in its corresponding Fund Documents. The Adviser does not participate in wrap fee programs. As of the date of this brochure, the Adviser manages $623,105,628 in regulatory assets under management on a discretionary basis.