Overview
                                    
                                    
                                        
                                            Firm Overview 
424 Capital, LLC (“424”) is an asset management firm providing services to private pooled investment 
vehicles. 424 Capital, LLC was originally founded under the name of its predecessor in 1998 as Brook 
Venture Management, Inc (“BVM, Inc”). In 2019, 424 Capital LLC completed an organizational spin-out 
and became an independent firm. 424 Capital LLC is headquartered in Wakefield, Massachusetts and is 
registered as an investment adviser in accordance with SEC guidance under the Investment Advisers Act 
of 1940, as amended. 424 Capital, LLC and Brook Venture Management, Inc (collectively the “Adviser” 
or “Firm”) are under common control and operate as a single advisory business.  
Firm Ownership 
424 Capital, LLC is owned by Principals/Managing Partners Walter Beinecke, Brennan Mulcahey, and 
Kyle Stanbro (“Managing Partners”).  
Brook Venture Management, Inc is owned by Principal Walter Beinecke. 
Firm Offerings 
 
The Adviser provides discretionary portfolio management services to private pooled investment vehicles 
(the “Private Investment Funds”) in accordance with the investment guidelines set forth in each Private 
Investment Fund’s
                                        
                                        
                                             applicable limited partnership agreements, investment management agreements, 
operating agreements, offering memoranda, and other such agreements (the “Governing Documents”). The 
Firm is responsible for the investment decisions and performance of the Private Investment Funds. The 
Firm does not tailor its investment advice to the needs of investors in the Private Investment Funds. 
Investors are required to meet certain suitability requirements, such as being an “Accredited Investor”, a 
“Qualified Client” and/or a “Qualified Purchaser” as defined under federal laws. Investors interested in a 
Private Investment Fund should refer to the Private Investment Fund’s Governing Documents for important 
information regarding the Private Investment Fund’s investment objectives, risks, fees,  and additional 
disclosures for a complete understanding of the terms and conditions for investing in the relevant Private 
Investment Fund. 
Wrap-Fee Program 
The Adviser does not participate in any wrap fee programs. 
Assets Under Management 
As of December 31, 2023, the Adviser had $297,918,744 of regulatory assets under management. All assets 
are managed on a discretionary basis.