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Adviser Profile

As of Date 03/28/2024
Adviser Type - Large advisory firm
Number of Employees 6
of those in investment advisory functions 3
Registration SEC, Approved, 08/19/2022
Other registrations (3)
Former registrations

SEARCH FUND ACCELERATOR, LLC

AUM* 234,540,693 7.76%
of that, discretionary 234,540,693 7.76%
Private Fund GAV* 234,540,693 7.76%
Avg Account Size 2,151,749 162.96%
SMA’s No
Private Funds 8 1
Contact Info (60 xxxxxxx
Websites

Client Types

- Pooled investment vehicles

Advisory Activities

- Portfolio management for pooled investment vehicles

Compensation Arrangments

- Performance-based fees

Recent News

Reported AUM

Discretionary
Non-discretionary
218M 187M 155M 124M 93M 62M 31M
2022 2023

Private Funds



Employees

Private Funds Structure

Fund Type Count GAV
Fund TypePrivate Equity Fund Count1 GAV$18,571,781
Fund TypeVenture Capital Fund Count7 GAV$215,968,912

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Brochure Summary

Overview

Firm Description Search Fund Accelerator, LLC ( “SFA” or the “Firm”) is a SEC registered investment advisor. Search Fund Accelerator was founded in February 2015. The Principal Owners are Timothy Bovard and Jeremy Silverman, and the Chief Compliance Officer is Matthew Parker. Types of Advisory Services Search Fund Accelerator only provides investment advice for Regulation D investment vehicles. We provide services for six separate Pooled Investment Vehicles. SFA will offer advice as to what Pooled Investment Vehicle or combination of Pooled Investment Vehicle’s fit a particular client’s investment needs. The advisor will inform clients and prospective clients on the services which the manager will provide the Pooled Investment Vehicle. Investment Advisory Services SFA 2015, LP; SFA 2016, LP; SFA 2017, LP; SFA 2018, LP; SFA 2019, LP; SFA 2020, LP, SFA 2021, LP, SFA 2022, LP, (“The Funds”) are pooled investment vehicles that are managed by Search Fund Accelerator, LLC. Each fund has total capital commitments between
$10,000,000 and $25,000,000. As of 12/31/23, the total amount of assets under management is approximately $234,540,693, and all are managed on a discretionary basis. The Funds will be capitalized through the offering of LP units as set forth in a confidential Limited Partnership Agreement (Offering Memorandum). These units have a 15-year life and make distributions at the discretion of the manager. Services Tailored to Clients’ Needs SFA will only offer advice to clients on specific Regulation D based investment offerings. The manager does not advise on client funds, securities, or assets not specifically invested in a SFA managed offering. The manager will recommend specific Pooled Investment Vehicles based on the client’s needs. Wrap Fee Program versus Portfolio Management Program SFA does not offer a Wrap Fee Program. Assets Under Management As of December 31st, 2023, Adviser has the following assets under management:
• Discretionary assets: $234,540,693
• Non-discretionary assets: $0