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Adviser Profile

As of Date 03/23/2024
Adviser Type - Large advisory firm
Number of Employees 8 -11.11%
of those in investment advisory functions 2 100.00%
Registration Texas, Terminated, 5/11/2012
Other registrations (1)
AUM* 754,975,659 -1.75%
of that, discretionary 754,975,659 -1.75%
Private Fund GAV* 690,571,873 4.06%
Avg Account Size 68,634,151 16.12%
SMA’s Yes
Private Funds 9
Contact Info 214 xxxxxxx
Websites

Client Types

- Pooled investment vehicles
- Charitable organizations

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
1B 894M 745M 596M 447M 298M 149M
2015 2016 2017 2018 2019 2020 2021 2022 2023

Private Funds



Employees

Private Funds Structure

Fund Type Count GAV
Fund TypeHedge Fund Count3 GAV$551,982,068
Fund TypePrivate Equity Fund Count1 GAV$6,087,528
Fund TypeReal Estate Fund Count1 GAV$4,373,937
Fund TypeVenture Capital Fund Count3 GAV$88,571,986
Fund TypeOther Private Fund Count1 GAV$39,556,354

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Top Holdings

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Stck Ticker29273V100 Stock NameENERGY TRANSFER LP $ Position$45,898 % Position12.00% $ Change-8.00% # Change-11.00%
Stck Ticker03676B102 Stock NameANTERO MIDSTREAM CORP $ Position$42,744 % Position11.00% $ Change-16.00% # Change-20.00%
Stck Ticker72651A207 Stock NamePLAINS GP HOLDINGS LP $ Position$28,396 % Position8.00% $ Change-2.00% # Change-5.00%
Stck Ticker293792107 Stock NameENTERPRISE PRODUCTS PARTNERS LP $ Position$29,151 % Position8.00% $ Change-2.00% # Change-1.00%
Stck Ticker55336V100 Stock NameMPLX LP $ Position$26,198 % Position7.00% $ Change9.00% # Change6.00%
Stck Ticker49456B101 Stock NameKINDER MORGAN INC $ Position$23,248 % Position6.00% $ Change69.00% # Change56.00%
Stck Ticker16411R208 Stock NameCHENIERE ENERGY INC $ Position$14,032 % Position4.00% $ Change-10.00% # Change-17.00%
Stck Ticker927959106 Stock NameVIPER ENERGY INC $ Position$13,367 % Position4.00% $ Change8.00% # Change11.00%
Stck Ticker958669103 Stock NameWESTERN MIDSTREAM PARTNERS LP $ Position$13,613 % Position4.00% $ Change-20.00% # Change-29.00%

Brochure Summary

Overview

– Advisory Business RR Advisors, LLC (“RR” or the “Firm”), a Delaware limited liability company, commenced operations in 2004. The Firm provides discretionary investment advisory services to certain private investment funds and separately managed accounts (each a “Client” and collectively the “Clients”) and those that invest in them (each an “Investor”). RR provides investment advisory services with respect to private and public equity and debt investments in the energy industry, including oil, gas, exploration and production companies. RR may invest in master limited partnerships (“MLPs”), corporations, limited liability companies and other types of firms on behalf of its Clients. In addition, the Firm provides discretionary investment advisory services to certain venture capital, private equity and real estate funds that invest directly or indirectly in portfolio companies in various industries including the technology, commercial real estate and power generation industries. As of December 31, 2023, RR serves as investment adviser to the following private investment funds (each a “Fund” and collectively, the “Funds”): Energy Related Funds:
• RCH Energy MLP Fund, L.P. (the “MLP Fund”);
• RCH Energy Opportunity Fund III, L.P. (the “Opportunity Fund III”);
• RCH Energy MLP Swap Fund, L.P. (the “MLP Swap Fund”); and
• RCH Oil and Gas Midstream Fund, LP (the “OGMid Fund”). Venture Capital, Private Equity and Real Estate Funds (“Venture Funds”):
• RS2 Ventures, LP – MD Series A (the “Rs2 – MDA Fund”)
• RS2 Ventures, LP _ CHIPT Series A (the “Rs2- CHIPT A Fund”)
• RS2 Ventures, LP – SP Series A (the “Rs2-
SP A Fund”)
• RS2 Ventures, LP – SP Series B (the “Rs2- SP B Fund”); and
• Nickabella, LP (the “Nickabella Fund”). In addition, RR acts as investment manager for two (2) separately managed accounts (each an “SMA”). For each SMA, RR will consider each Investor’s risk tolerance, time horizon, tax status, liquidity needs, return objectives and preferences. RR is owned by Robert J. Raymond. As of December 31, 20231, RR managed discretionary regulatory assets valued at approximately $754.9 million. RR does not currently manage any regulatory assets on a non-discretionary basis. Generally, the investment advice offered by RR is limited to the investment strategies described above (private and public equity and debt investments in the energy industry, including oil, gas, exploration, and production companies; and venture, real estate, or private equity capital in the technology, commercial real estate and power generation industries) and as further detailed in Section 8 below. RR manages its Client accounts based on these strategies, subject to the restrictions and guidelines set forth in each Client agreement and does not tailor its advisory services to any Fund Investor or SMA Client except that RR will 1 Regulatory assets under management with respect to the Rs2-CHIPT A Fund are as of September 30, 2023 due to delay in reporting on the part of the underlying fund. manage other strategies at the specific request of a Client subject to review and agreement on the type of strategy, applicable investment restrictions, minimum account size and agreement on fees.