Revenue | {{ Info.Revenue | formatUSD }} |
Headquarters | {{ Info.Headquarters }} |
As of Date | 03/28/2024 |
Adviser Type - Mid-sized advisory firm | |
Number of Employees | 10 |
of those in investment advisory functions | 7 |
Registration | SEC, Approved, 07/24/2019 |
|
|
Former registrations |
AUM* | 79,904,023 -57.26% |
of that, discretionary | 79,904,023 -57.26% |
Private Fund GAV* | 79,904,023 -57.26% |
Avg Account Size | 26,634,674 -57.26% |
SMA’s | No |
Private Funds | 1 |
Contact Info | 646 xxxxxxx |
Websites |
- Pooled investment vehicles
- Portfolio management for pooled investment vehicles
- A percentage of assets under your management
- Performance-based fees
Fund Type | Count | GAV |
---|---|---|
Fund TypeHedge Fund | Count1 | GAV$79,904,023 |
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 AVALON GLOBAL ASSET MANAGEMENT LLC | Hedge Fund325.6m | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV325.6m | AUM325.6m | #Funds2 | |
Adviser TWIN SECURITIES, INC. | Hedge Fund201.8m | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV201.8m | AUM224.3m | #Funds2 | |
Adviser DELPHIA | Hedge Fund- | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV- | AUM187.1m | #Funds- | |
Adviser COLUMN PARK ASSET MANAGEMENT, LP | Hedge Fund178.8m | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV178.8m | AUM234.6m | #Funds1 | |
Adviser ELCO MANAGEMENT COMPANY, LLC | Hedge Fund21.8m | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV21.8m | AUM213.9m | #Funds1 | |
Adviser LANSING MANAGEMENT, LP | Hedge Fund147.0m | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV147.0m | AUM195.7m | #Funds1 | |
Adviser UNIO CAPITAL LLC | Hedge Fund17.7m | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV17.7m | AUM219.8m | #Funds1 | |
Adviser UNION SQUARE PARK CAPITAL MANAGEMENT, LLC | Hedge Fund158.6m | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV158.6m | AUM158.6m | #Funds1 | |
Adviser BULLSEYE ASSET MANAGEMENT LLC | Hedge Fund27.9m | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV27.9m | AUM206.2m | #Funds1 | |
Adviser CAMBRIAN ASSET MANAGEMENT, INC. | Hedge Fund164.2m | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV164.2m | AUM148.4m | #Funds2 |
Stock Ticker | Stock Name | $ Position | % Position | $ Change | # Change |
---|---|---|---|---|---|
Stck Ticker650111107 | Stock NameNEW YORK TIMES CO A | $ Position$3,428 | % Position1.00% | $ Change | # Change |
Stck Ticker023135106 | Stock NameAMAZON COM INC | $ Position$6,653 | % Position1.00% | $ Change573.00% | # Change429.00% |
Stck Ticker78410G104 | Stock NameSBA COMMUNICATIONS CORP | $ Position$3,044 | % Position1.00% | $ Change | # Change |
Stck Ticker910047109 | Stock NameUNITED AIRLINES HOLDINGS INC | $ Position$2,887 | % Position1.00% | $ Change | # Change |
Stck Ticker87162W100 | Stock NameTD SYNNEX CORP | $ Position$3,684 | % Position1.00% | $ Change45950.00% | # Change40833.00% |
Stck Ticker55087P104 | Stock NameLYFT INCA | $ Position$3,315 | % Position1.00% | $ Change3150.00% | # Change3353.00% |
Stck Ticker169656105 | Stock NameCHIPOTLE MEXICAN GRILL INC | $ Position$6,684 | % Position1.00% | $ Change | # Change |
Stck Ticker315616102 | Stock NameF5 INC | $ Position$3,072 | % Position1.00% | $ Change | # Change |
Stck Ticker48242W106 | Stock NameKBR INC | $ Position$3,677 | % Position1.00% | $ Change | # Change |
Stck Ticker57636Q104 | Stock NameMASTERCARD INC A | $ Position$2,735 | % Position1.00% | $ Change | # Change |