| As of Date | 03/30/2026 |
| Registration | SEC, Approved, 07/27/2022 |
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| Former registrations | |
| ADV Location | ATLANTA, GA, United States |
| Contact Info | 404 xxxxxxx |
| Websites |
| AUM* | 963,168,000 66% |
| of that, discretionary | 963,168,000 66% |
| Private Fund GAV* | 963,168,000 52% |
| Avg Account Size | 321,056,000 66% |
| SMA’s | No |
| Private Funds | 3 |
Number of Employees 5
of those in investment advisory functions 5
- Pooled investment vehicles
- Portfolio management for pooled investment vehicles
- A percentage of assets under your management
- Performance-based fees
| SEC Fund Type | Count | GAV |
|---|---|---|
| Fund TypeHedge Fund | Count3 | GAV$963,168,000 |
| 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 STEAMBOAT CAPITAL PARTNERS, LLC | Hedge Fund585.2m | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV585.2m | AUM515.6m | #Funds4 | |
| Adviser SICART ASSOCIATES, LLC | Hedge Fund23.3m | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV23.3m | AUM455.4m | #Funds1 | |
| Adviser THIRD NORTH CAPITAL LP | Hedge Fund184.2m | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV184.2m | AUM432.2m | #Funds2 | |
| Adviser COWBIRD CAPITAL LP | Hedge Fund- | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV- | AUM355.5m | #Funds- | |
| Adviser RINGS CAPITAL MANAGEMENT LLC | Hedge Fund653.0m | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV653.0m | AUM653.0m | #Funds3 | |
| Adviser THAMES CAPITAL MANAGEMENT, LLC | Hedge Fund830.5m | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV830.5m | AUM830.5m | #Funds3 | |
| Adviser OLYMPIAD RESEARCH LP | Hedge Fund- | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV- | AUM639.6m | #Funds- | |
| Adviser TRI LOCUM PARTNERS LP | Hedge Fund127.8m | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV127.8m | AUM1.1b | #Funds3 | |
| Adviser STONY POINT CAPITAL | Hedge Fund46.8m | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV46.8m | AUM1.5b | #Funds3 | |
| Adviser SW INVESTMENT MANAGEMENT LLC | Hedge Fund698.5m | Liquidity Fund- | Private Equity Fund- | Real Estate Fund- | Securitized Asset Fund- | Venture Capital Fund- | Other Fund- | Total Private Fund GAV698.5m | AUM698.5m | #Funds1 |
| Stock Ticker | Stock Name | $ Position | % Position | $ Change | # Change |
|---|---|---|---|---|---|
| Stck Ticker462222100 | Stock NameIONIS PHARMACEUTICALS INC | $ Position$37,584,197 | % Position12.00% | $ Change14.00% | # Change20.00% |
| Stck Ticker604749101 | Stock NameMIRUM PHARMACEUTICALS INC | $ Position$38,913,782 | % Position12.00% | $ Change17.00% | # Change0.00% |
| Stck Ticker125523100 | Stock NameTHE CIGNA GROUP | $ Position$36,683,994 | % Position11.00% | $ Change38.00% | # Change43.00% |
| Stck TickerG5960L103 | Stock NameMEDTRONIC PLC | $ Position$34,492,332 | % Position11.00% | $ Change-16.00% | # Change-7.00% |
| Stck Ticker879369106 | Stock NameTELEFLEX INCORPORATED | $ Position$33,346,311 | % Position10.00% | $ Change | # Change |
| Stck Ticker09061G101 | Stock NameBIOMARIN PHARMACEUTICAL INC | $ Position$30,949,233 | % Position9.00% | $ Change26.00% | # Change33.00% |
| Stck TickerG0593M107 | Stock NameASTRAZENECA PLC | $ Position$21,714,119 | % Position7.00% | $ Change | # Change |
| Stck Ticker40145W101 | Stock NameGUARDIAN PHARMACY SVCS INC | $ Position$23,770,728 | % Position7.00% | $ Change | # Change |
| Stck Ticker91324P102 | Stock NameUNITEDHEALTH GROUP INC | $ Position$21,437,763 | % Position7.00% | $ Change5.00% | # Change28.00% |
| Stck Ticker05350V106 | Stock NameAVANOS MED INC | $ Position$16,600,575 | % Position5.00% | $ Change | # Change |