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Adviser Profile

As of Date 03/29/2024
Adviser Type - Large advisory firm
Number of Employees 30 3.45%
of those in investment advisory functions 9 12.50%
Registration SEC, Approved, 3/29/2012
AUM* 1,382,338,954 11.81%
of that, discretionary 1,382,338,954 11.81%
Private Fund GAV* 1,382,338,954 7.07%
Avg Account Size 460,779,651 49.08%
SMA’s No
Private Funds 3 1
Contact Info 320 xxxxxxx
Websites

Client Types

- Pooled investment vehicles

Advisory Activities

- Portfolio management for pooled investment vehicles

Compensation Arrangments

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

Recent News

Reported AUM

Discretionary
Non-discretionary
1B 1B 883M 706M 530M 353M 177M
2015 2016 2017 2018 2019 2020 2021 2022 2023

Private Funds



Employees

Private Funds Structure

Fund Type Count GAV
Fund TypePrivate Equity Fund Count3 GAV$1,382,338,954

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Brochure Summary

Overview

WhoWeAre GranitePartners(“theAdviser”),aDelawarelimitedliabilitycompany,wasfoundedinMay of2002inSt.Cloud,Minnesota,whereitmaintainsitsrecords.TheAdviseralsomaintains officesinNorthfieldandMinneapolis,Minnesota.TheprincipalownersareRickBauerly, MichelleBauerly-Kopel,andGregSchumacher(“Partners”). OurteamofPartnersisadiversegroupofexperiencedprofessionalswhoarecommittedto the success of our portfolio investments. The Partners have accumulated more than four decades of experience in their roles as investor, entrepreneur, financial adviser, managementconsultant,operatingmanager,andboardmember,andarewell-positioned tosupporttheneedsofagrowingbusiness.
ThePartnershaveexperienceacrossthefullbusinesslifecycle,fromstartup,togrowth,to middlemarket,toFortune1000companiesaswellasawiderangeofindustriesandacross the core management functions. Additionally, the Partners have advanced training and educationinbusiness,marketing,finance,publicpolicy,andaccounting.
DescriptionofAdvisoryServices PrivateEquityFunds The Adviser provides investment management and advisory services (“Services”) to private equity funds (“Private Funds”) that are exempt from registration under the Investment Company Act of 1940 and whose securities are not registered under the SecuritiesActof1933.
TheServicesarefocusedexclusivelyonthePrivateFundsthatinvestthroughnegotiated transactions in operating entities (“Portfolio Companies”). The Services provided by the Adviserconsistofevaluatinginvestmentopportunities,negotiatinginvestments,managing and monitoring investments and partnering with the management teams of the Portfolio Companiestoexecutegrowthstrategiesandpotentiallyachievedispositionofinvestments.
TheAdvisercurrentlyservesastheManagingMembertothePrivateFunds.
TheexistingPrivateFunds,notincludingGraniteEquityLLCandGraniteEquityAssociates LLC, are not accepting additional Investors. Granite Equity LLC and Granite Equity Associates LLC may, from time to time, add additional Investors. The Adviser may form newPrivateFundsinthefuture.ThePrivateFundsareinvestedexclusivelyinnon-public PortfolioCompanies.WheninvestinginPortfolioCompanies,thePartnersoftheAdviser may serve on the board of directors of a Portfolio Company in order to influence the governanceofthePortfolioCompany.TheAdvisergenerallyseekstomakeinvestmentsin companies in attractive industries
with manageable risks and open opportunities with revenuesof$10to$100millionandEBITDAof$1to$10million.ThePortfolioCompanies must also be located within drive time of the Adviser’s offices and have a strong management team interested in partnering and co-investing with the Adviser. The PortfolioCompaniesmustalsohaveastrategicplanwiththepotentialforprovidingstrong returnstostockholdersandstakeholders.ThePrivateFundsmayalsobereferredtointhis Brochureas“Clients.” TheAdviserprovidesServicestothefollowingPrivateFunds: § GraniteEquityLLC(FundIII) § GraniteEquityAssociatesLLC(FundIII) § GraniteDebtFundLLC The Adviser generally offers advice on portfolio investments that fall within each respective Private Fund’s investment strategy and objectives as described in its private placement memorandum and/or other governing documents (which may include limited liabilitycompanyagreements,subscriptionagreementsandsimilarinstruments).
The Adviser may, from time to time, establish Private Funds for the sole purpose of allowing certain Investors to invest alongside one or more of the Private Funds in a particular investment opportunity (a “Co-Investment Fund”). Co-Investment Funds are typicallylimitedtoinvestingintheparticularPortfolioCompanyrelatedtothetransaction forwhichtheywereorganized.Asageneralmatter,investmentsinCo-InvestmentFunds willbemadeunderthesametermsandconditionsandbemadeonthesamedateofthe investmentsintheapplicablePrivateFund.
PrivateFundsmakeprimarilylong-termprivateequityandequity-relatedinvestments,as wellasonoccasion,investmentsindebtinstrumentsforthePortfolioCompanies.
AdviceisprovideddirectlytothePrivateFunds,subjecttothediscretionandcontrolofthe AdviserandnotindividuallytotheInvestorsofthePrivateFunds.Servicesareprovidedin accordance with the Investment Management Agreement and the Private Fund’s Limited Liability Company (“LLC”) Agreement as detailed in the relevant private placement memorandum and/or organizational documents. Investment restrictions, if any, are generallydescribedintheorganizationaldocumentsoftheapplicablePrivateFund.
AssetsunderManagement As of December 31, 2023, the Adviser maintained $1,382,338,954 in assets under managementonadiscretionarybasis.Assetsundermanagement,inaccordancewiththe InvestmentAdvisersAct,arecalculatedbyaddingthefairmarketvalueoftheinvestment assetsplustheremaininguncalledcapital.