other names
{{ Info.Overview }}
Revenue {{ Info.Revenue | formatUSD }}
Headquarters {{ Info.Headquarters }}

Adviser Profile

As of Date 03/28/2024
Adviser Type - Large advisory firm
Number of Employees 2
of those in investment advisory functions 2
Registration SEC, Approved, 12/17/2019
AUM* 112,850,333 -0.63%
of that, discretionary 112,850,333 -0.63%
Private Fund GAV* 17,094,047 7.78%
Avg Account Size 37,616,778 -0.63%
% High Net Worth 75.00% 100.00%
SMA’s Yes
Private Funds 1
Contact Info 646 xxxxxxx
Websites

Client Types

- High net worth individuals
- Pooled investment vehicles

Advisory Activities

- Portfolio management for individuals and/or small businesses
- Portfolio management for pooled investment vehicles
- Selection of other advisers

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
116M 99M 83M 66M 50M 33M 17M
2019 2020 2021 2022 2023

Private Funds



Employees

Private Funds Structure

Fund Type Count GAV
Fund TypeHedge Fund Count1 GAV$17,094,047

Similar advisers

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 SIZEMORE CAPITAL MANAGEMENT, LLC Hedge Fund29.7m Liquidity Fund- Private Equity Fund- Real Estate Fund- Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV29.7m AUM111.8m #Funds10
Adviser CLUTTERBUCK CAPITAL MANAGEMENT LLC Hedge Fund78.1m Liquidity Fund- Private Equity Fund- Real Estate Fund- Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV78.1m AUM144.6m #Funds1
Adviser SCHEAR INVESTMENT ADVISERS, LLC Hedge Fund7.3m Liquidity Fund- Private Equity Fund- Real Estate Fund- Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV7.3m AUM139.5m #Funds1
Adviser CENTERSTAR ASSET MANAGEMENT, LLC Hedge Fund178.9m Liquidity Fund- Private Equity Fund- Real Estate Fund- Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV178.9m AUM178.9m #Funds3
Adviser ROAD CAPITAL MANAGEMENT LP Hedge Fund197.0m Liquidity Fund- Private Equity Fund- Real Estate Fund- Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV197.0m AUM197.0m #Funds1
Adviser SEPHIRA INVESTMENT ADVISORS (UK) LIMITED Hedge Fund38.1m Liquidity Fund- Private Equity Fund- Real Estate Fund- Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV38.1m AUM66.8m #Funds2
Adviser OFF THE CHAIN CAPITAL, LLC Hedge Fund204.3m Liquidity Fund- Private Equity Fund- Real Estate Fund- Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV204.3m AUM204.3m #Funds1
Adviser BRAESIDE INVESTMENTS, LLC Hedge Fund95.8m Liquidity Fund- Private Equity Fund- Real Estate Fund- Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV95.8m AUM120.8m #Funds2
Adviser OAC CAPITAL ADVISORS LLC Hedge Fund45.3m Liquidity Fund- Private Equity Fund- Real Estate Fund- Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV45.3m AUM159.8m #Funds1
Adviser LONG WALK MANAGEMENT LP Hedge Fund184.6m Liquidity Fund- Private Equity Fund- Real Estate Fund- Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV184.6m AUM237.9m #Funds1

Brochure Summary

Overview

Conscious Endeavors LP (“we” “us,” or “our”) is a Delaware limited partnership that was formed on May 14, 2019. We are principally owned and controlled by John D. Meyercord (the “Principal”). We provide discretionary investment advice to Impower Investment Holdings LP (the “Fund”). We also provide discretionary investment advice to multiple separately managed accounts and may advise additional separately managed accounts in the future. References throughout this document to “clients” refer to the Fund, the separately managed accounts, and any investment vehicles that we may advise in the future. Client accounts will be managed in accordance with their own investment and trading objectives, as described in their respective offering documents, governing agreements
or advisory agreements (collectively, the “Governing Documents”), as applicable. We do not permit investors in the Fund to impose limitations on the investment activities described in such documents. Under certain circumstances, we may contract with a separately managed account to adhere to limited risk and/or operating guidelines imposed by that client. We negotiate such arrangements on a case-by-case basis. (See Item 16 - Investment Discretion) Impower IH GP LLC (“Impower GP”) serves as the general partner to the Fund. We do not participate in wrap fee programs. As of December 31, 2023, we managed approximately $112,850,333 of regulatory assets under management on a discretionary basis. We do not manage any assets on a non-discretionary basis.