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Adviser Profile

As of Date 03/26/2024
Adviser Type - Large advisory firm
Number of Employees 1
of those in investment advisory functions 1
Registration SEC, Approved, 07/13/2020
AUM* 179,531,590 10.45%
of that, discretionary 179,531,590 10.45%
Private Fund GAV* 179,531,590 10.45%
Avg Account Size 59,843,863 10.45%
SMA’s No
Private Funds 1
Contact Info 908 xxxxxxx

Client Types

- Pooled investment vehicles

Advisory Activities

- Portfolio management for pooled investment vehicles
- Selection of other advisers

Compensation Arrangments

- A percentage of assets under your management

Recent News

Reported AUM

Discretionary
Non-discretionary
163M 139M 116M 93M 70M 46M 23M
2020 2021 2022 2023

Private Funds



Employees

Private Funds Structure

Fund Type Count GAV
Fund TypeHedge Fund Count1 GAV$179,531,590

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Brochure Summary

Overview

A. Advisory Firm OM Advisers LP (“OM Advisers”, “Investment Manager”, the “Firm,” “we,” “us,” or “our”) is a Delaware limited partnership, with its principal place of business in New Jersey. OM Advisers was formed in October 2019 and is registered as an investment adviser with the United States Securities and Exchange Commission. Ajay G. Shroff is the principal owner of OM Advisers. The general partner of OM Advisers is OM Advisers GP LLC (or “Investment Manager GP”) which is owned and controlled by Ajay G. Shroff, the sole managing member of the Investment Manager. B. General Description of Advisory Firm OM Advisers provides investment management services on a discretionary basis to Orion Onshore Fund LP, a Delaware limited partnership (the “Onshore Fund”), Orion Offshore Fund Ltd, a Cayman Islands exempted company (the “Offshore Fund”), and Orion Master Fund LP, a Cayman Islands exempted limited partnership, (collectively, the “Funds”). As an investment adviser, OM Advisers recommends investments in a basket of investment funds, including investment funds which are themselves funds-of-funds, (the “Investment Funds”) managed by third-party investment advisers (“Third-Party Advisers”). Orion Fund GP LP, a Delaware limited liability company (the “General Partner”) is the General Partner of the Funds and the Onshore Fund. The General Partner has delegated to the Investment Manager the responsibility for implementing the investment objectives and securities-trading
activities of the Funds in a manner consistent with the investment objectives and strategies of the Funds as set forth herein. The Investment Manager will also be the investment manager of the Offshore Fund, and may also serve as an adviser to one or more other pooled investment vehicles and managed accounts (whether now in existence or formed in the future), including pooled investment vehicles formed to invest in the Funds, or in parallel with the Funds. OM Advisers does not limit its investment advice to only certain types of investments. C. Specific Advisory Services The Firm’s advisory services are provided to the Funds, pursuant to the terms of the Funds’ relevant offering documents and based on the specific investment objectives and strategies as disclosed in the offering documents. The advisory services received by the Funds are tailored to the needs, specified investment objectives and strategies as set forth in each Fund’s offering documents. The Funds may impose restrictions on investing in certain types of securities in accordance with achieving their investment objectives and strategies. D. Wrap Fee Programs Not Applicable. OM Advisers does not participate in wrap fee programs. E. Assets Under Management As of December 31, 2023, OM Advisers had approximately $179,531,590 in regulatory assets under management on a discretionary basis. OM Advisers currently does not manage any of its Fund assets on a non-discretionary basis.