FRONTIER INVESTMENT MANAGEMENT PARTNERS LTD. other names

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Adviser Profile

As of Date:

03/22/2024

Adviser Type:

- Large advisory firm
- Outside the United States


Number of Employees:

26

of those in investment advisory functions:

12


Registration:

SEC, Approved, 1/27/2016

AUM:

2,256,138,416 16.06%

of that, discretionary:

2,256,138,416 16.06%

Private Fund GAV:

259,654,627 42.49%

Avg Account Size:

141,008,651 -5.70%


SMA’s:

YES

Private Funds:

2

Contact Info

00 xxxxxxx

Websites :
Client Types:

+

Advisory Activities:

+

Compensation Arrangments:

+

Reported AUM

Discretionary
Non-discretionary
2B 2B 1B 1B 886M 591M 295M
2016 2017 2018 2019 2020 2021 2022 2023

Recent News

Frontier Investment Corp (FICV) - WhaleWisdom.com
09/23/2023

View 13F filing holders of Frontier Investment Corp. 13F filings are submitted quarterly to the SEC by hedge funds and other investment managers.

whalewisdom.com

Top Frontier Investment Holdings Inc TFHI
04/01/2021

There is no one analyst in which a Quantitative Star Rating and Fair Value Estimate is attributed to; however, Mr. Lee Davidson, Head of Quantitative Research for Morningstar, Inc., is responsible ...

Morningstar

San Miguel Corp. 6.3222% Pfd.
03/31/2021

Leonardo de Castro Director Top Frontier Investment Holdings ... Inc., World Wildlife Fund for Nature Philippines, FieldFresh Foods Pvt Ltd., San Miguel Corp., Del Monte Philippines, Inc ...

Wall Street Journal

Top Frontier Investment Holdings Inc.
03/30/2021

Stocks: Real-time U.S. stock quotes reflect trades reported through Nasdaq only; comprehensive quotes and volume reflect trading in all markets and are delayed at least 15 minutes. International ...

Barrons


Private Funds Structure

Fund Type Count GAV
Other Private Fund 2 $259,654,627

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Private Funds



Employees




Brochure Summary

Overview

Frontier Investment Management Partners Ltd. (“FIM Partners”) is an investment advisor organized in 2008 as a private company (previously termed a company limited by shares) under the laws of the Dubai International Financial Centre. FIM Partners is regulated by the Dubai Financial Services Authority (the “DFSA”) and has been registered with the SEC since January 2016. FIM Partners provides investment management services to open and closed-ended funds and managed accounts. Mr. Hedi Ben Mlouka and EFG-Hermes UAE Limited are the owners of FIM Partners. More information regarding ownership is available in our Form ADV Part 1. FIM Partners provides investment management and advisory services to the following types of clients (each referred to herein as “Client”): Pooled Investment Vehicles: FIM Partners provides investment management and advisory services to private pooled investment vehicles (sponsored by FIM Partners) that are offered to investors on a private placement basis as set out below (“Fund”). The investment vehicles are organized exclusively outside the United States. In connection
with providing these investment management and advisory services, FIM Partners has been appointed as the investment advisor with discretionary trading authorization. Managed Accounts: In addition, FIM Partners provides discretionary investment management and advisory services for separately managed accounts (“Managed Account”). Certain of those managed accounts are managed by independent and unaffiliated asset managers (“Third Party Asset Managers”). Each of the Third Party Asset Managers may have broad authority to invest in a variety of non-U.S. securities. We obtain discretionary authority to invest and reinvest the assets of Managed Accounts (from the Third Party Asset Managers, if applicable) as we deem to be consistent with the investment objectives of the managed account, such as risk tolerance, time horizon, strategy and, if applicable, restrictions specific to the account. As of 31 December 2023, FIM Partners manages the following: Discretionary Assets $2,256,138,416 Non-discretionary Assets $ 0.00 Total $2,256,138,416