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Adviser Profile

As of Date 03/05/2024
Adviser Type - Large advisory firm
Number of Employees 4
of those in investment advisory functions 2
Registration SEC, Approved, 4/30/2021
Other registrations (1)
Former registrations

TAH MANAGEMENT, LP

AUM* 212,425,000 13.30%
of that, discretionary 212,425,000 13.30%
Private Fund GAV* 212,425,000 13.30%
Avg Account Size 53,106,250 13.30%
SMA’s No
Private Funds 2
Contact Info 212 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
295M 253M 211M 169M 126M 84M 42M
2021 2022 2023

Private Funds



Employees

Private Funds Structure

Fund Type Count GAV
Fund TypeHedge Fund Count1 GAV$190,274,000
Fund TypePrivate Equity Fund Count1 GAV$22,151,000

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Brochure Summary

Overview

Firm Description TAH Management, LP (herein “TAH”, “TAH Management”, or the “Firm”) is an investment advisor with its principal place of business in New York, New York. The adviser was founded as a Delaware limited liability company in 2013 and is an SEC-registered investment adviser. The principal shareholders owning more than 25% of the Firm are:
• Joel T. Citron, Managing Member
• Donald Ingham, Portfolio Manager As used in this brochure, the words “we,” “our” and “us” refer to TAH Management, LP and the words “you”, “your” and “client” refer to you as either a client or prospective client of our Firm. Investment Advisory Services General. TAH Management provides discretionary investment management services to pooled investment vehicles (“Private Fund” or “Private Funds”) intended for institutional investors and other sophisticated investors meeting certain requirements (“Qualified Clients”). As of December 31, 2023, the Private Funds include:
• TAH Core Fund, LLC (the “Onshore Feeder”), a Delaware Limited Liability Company;
• TAH Core Fund (Offshore), Ltd. (the “Offshore Feeder”), a Cayman Islands exempted company;
• TAH Core Master Fund, Ltd. (the “Master Fund”) and together with the Feeders, the (“Master-Feeder Funds”), a Cayman Islands exempted company;
• TAH Caulipower SPV, LLC (the “SPV”), a Delaware Limited Liability Company. The Onshore Feeder and Offshore
Feeder each invest substantially all their assets through a master-feeder structure in the Master Fund. The Master Fund and the Onshore Feeder are managed by TAH Capital Group, LLC, the General Partner (the “GP”), and the Firm. The Offshore Feeder is managed by the Firm. TAH Capital Group, LLC is the Managing Member of TAH Caulipower SPV, LLC. TAH Management provides investment advice directly to the Private Funds, and not individually to any investor in any Private Fund. TAH Management does not tailor its advisory services to the individual needs of any investor and such investors may not impose investment restrictions on a Fund. Prospective investors in the Private Funds are provided with a combination of documents, depending on the particular Private Fund in which a prospect is considering an investment which may include: private placement memorandum (“PPM”); limited liability company agreement; memorandum articles of association and/or the investment agreement between the Fund and TAH and/or the applicable GP or Managing Member, in each case including any amendments or supplements thereto and/or any other disclosure documentation, as applicable (collectively referred to herein as the “Governing Documents”). Assets Under Management As of December 31, 2023, TAH had $212,425,000 in regulatory assets under management on a discretionary basis. TAH does not manage any assets on a non-discretionary basis.