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Adviser Profile

As of Date 08/16/2024
Adviser Type - Large advisory firm
Number of Employees 8 -27.27%
of those in investment advisory functions 8 -27.27%
Registration SEC, Approved, 8/28/2001
AUM* 39,514,428,923 18.82%
of that, discretionary 39,514,428,923 18.82%
Private Fund GAV* 18,408,578,527 -56.05%
Avg Account Size 1,317,147,631 18.82%
SMA’s Yes
Private Funds 9 1
Contact Info 561 xxxxxxx
Websites

Client Types

- Pooled investment vehicles
- Pension and profit sharing plans
- Sovereign wealth funds and foreign official institutions
- Corporations or other businesses not listed above

Advisory Activities

- Portfolio management for pooled investment vehicles
- Portfolio management for businesses

Compensation Arrangments

- A percentage of assets under your management
- Performance-based fees

Recent News

Reported AUM

Discretionary
Non-discretionary
74B 63B 53B 42B 32B 21B 11B
2015 2016 2017 2018 2019 2020 2021 2022 2023

Private Funds



Employees

Private Funds Structure

Fund Type Count GAV
Fund TypeHedge Fund Count8 GAV$18,390,546,434
Fund TypeReal Estate Fund Count1 GAV$18,032,093

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Brochure Summary

Overview

III Capital Management (“III” or the “Advisor”), currently advises private investment funds (the “Funds”) that are offered to institutional investors and high net worth, financially sophisticated individuals. III also advises certain managed accounts (“Managed Accounts”) and dedicated (i.e., single investor) funds (“SIFs”) for certain large, sophisticated institutional investors. Collectively, the Funds and III’s other advisory clients are referred to herein as III’s “Clients,” where appropriate. III operates in compliance with the Investment Advisers Act of 1940 (the “Advisers Act”) and the rules thereunder. III was formed on June 30, 1993 as a Nevada general partnership. The principals of III are: Robert Printz, Lester Coyle, Scott Wyler, Thomas Olofsson, Jason Prest, Karen Hansen, Christian Pellegrino, and Yelena Anuar. III (and its predecessor entities) has been managing client and proprietary capital since 1982. III has been registered with the SEC as a Registered Investment Adviser since August 28, 2001. III invests Client capital across four general strategy groups: fixed income/rates strategies (“Rates”), asymmetric or convexity strategies (“Convexity”), long-only credit (“Long-Only Credit”) and long/short or relative value credit (“Long/Short Credit”). Many III-advised Funds are multi-strategy funds that invest
in two or more of these strategy groups. Within these strategy areas, III manages portfolios with specific focus areas, such as government relative value strategies (“GRV”) within Rates, or convertible bond arbitrage (“Convert Arb”) and equity market neutral (“Equity”) strategies within Long/Short Credit. Rates strategies were the original foundation of III’s advisory business, and the Advisor has been continuously managing Rates portfolios since its inception in 1982. III does not participate in or sponsor any wrap fee programs. All discussions of the Funds in this brochure, including but not limited to their investments, the strategies used in managing the Funds, the fees and other costs associated with an investment in the Funds, and conflicts of interest faced by III and its affiliates in connection with management of the Funds, are qualified in their entirety by reference to each Fund’s respective confidential offering memorandum (if any) and governing documents (referred to collectively as the “Offering Documents”). Assets Under Management As of December 31, 2023, III managed the following client assets: Client Assets Under Management Discretionary $5,118,984,532 Non-Discretionary $0.00 Total $5,118,984,532 Amounts are in U.S. dollars.