STANLEY CAPITAL MANAGEMENT LLC other names

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Adviser Profile

As of Date:

03/19/2024

Adviser Type:

- Large advisory firm


Number of Employees:

3 50.00%

of those in investment advisory functions:

3 50.00%


Registration:

SEC, Approved, 6/23/2017

Other registrations (2)
AUM:

454,651,738 27.88%

of that, discretionary:

454,651,738 27.88%

GAV:

454,651,738 27.88%

Avg Account Size:

454,651,738 27.88%


SMA’s:

NO

Private Funds:

1

Contact Info

713 xxxxxxx

Websites :
Client Types:

+

Advisory Activities:

+

Compensation Arrangments:

+

Reported AUM

Discretionary
Non-discretionary
357M 306M 255M 204M 153M 102M 51M
2017 2018 2019 2020 2021 2022 2023

Recent News

MSJ1 13F Hedge Fund and Asset Management Owners - Whale Wisdom
07/08/2022

... Stanley Capital Trust VI, 6.60% Capital Securities. 13F filings are submitted quarterly to the SEC by hedge funds and other investment managers.

whalewisdom.com

Stanley Capital Management, LLC Buys Plantronics Inc, International Game Technology PLC, WW ...
08/18/2021

Related Stocks: TRIP, POLY, IGT, WW, VNT, BKNG, PUMP, CHNG,

gurufocus.com

Federated Hermes International Equity Fund;A
04/01/2021

The Fund focuses on issuers included in the Morgan Stanley Capital International Europe, Australia, Far East (MSCI EAFE) Index. Stocks: Real-time U.S. stock quotes reflect trades reported through ...

Barrons

Vanguard Investment Series PLC - Pacific Ex-Japan Stock Index Fund
04/01/2021

The Fund's objective is to provide long-term capital growth by tracking the performance of the Morgan Stanley Capital International Pacific ex-Japan Index. The Fund invests in equity securities ...

Bloomberg

Alltronics Records Strong Growth of FY2020 Revenue and Profit
03/31/2021

The MarketWatch News Department was not involved in the creation of this content. Mar 30, 2021 HONG KONG, Mar 31, 2021 (JCN Newswire via COMTEX) -- Alltronics Holdings Limited ("Alltronics" or the ...

Market Watch

PIPAX
03/31/2021

The fund seeks to exceed the total return of the Morgan Stanley Capital International Europe, Australasia and Far East ("EAFE") Index, hedged to U.S. dollars, by investing under normal ...

Seeking Alpha


Private Funds Structure

Fund Type Count GAV
Hedge Fund 1 $454,651,738

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Private Funds



Employees




Brochure Summary

Overview

Stanley Capital Management, LLC ("Stanley Capital") is a Texas limited liability company and has its principal place of business in Houston, Texas. Stanley Capital was formed and has been in business since July 29, 2010. Stanley Capital acts as investment manager to a private fund, Stanley Partners Fund, LP (the "Fund" or the "Stanley Partners Fund"), for sophisticated, qualified investors, including high net worth individuals, funds of funds, family offices, endowments and other institutions.* Stanley Capital is wholly owned by Stanley Capital Holdings, LP, an entity controlled by Bret W. Stanley, the Founder and Managing Partner of Stanley Capital. Stanley Capital pursues its investment strategy through managing the Fund. Stanley Capital has discretion with respect to investment decisions made for the Fund. Stanley Capital provides investment advisory services to the Fund based on the particular investment objectives and strategies described in the Fund's confidential offering memorandum (if any) and governing documents (referred to collectively as "Offering Documents"). Currently, Stanley Capital provides specialized advisory services to the
Fund which are based on Stanley's qualitative and quantitative analysis to select long and short equity investments for the Fund. All discussion of the Fund in this brochure, including but not limited to its investments, the strategies used in managing the Fund, and conflicts of interest faced by Stanley Capital in connection with the management of the Fund are qualified in their entirety by reference to the Fund's Offering Documents. Stanley Capital does not participate in wrap fee programs. As of December 31, 2022, in client accounts managed on a discretionary basis, Stanley Capital had approximately $356 million in assets under management. Client accounts advised on a non-discretionary basis had approximately $0 in assets under management. * As a registered investment adviser, the Adviser owes a fiduciary duty to all of its clients. In 2006, the decision by the Court of Appeals for the D.C. Circuit in Goldstein v. SEC, 451 F.3d 873 (D.C. Cir. June 23, 2006), with respect to private funds, clarified that the "client" of an investment adviser to a private fund is the fund itself and not an investor in the fund.