Overview
                                    
                                    
                                        
                                            Investcorp Investment Advisers LLC (“IIA LLC” or the “Firm”) is wholly owned by Investcorp 
International Holdings Inc., which is part of the Investcorp group of companies (“Investcorp 
Group”).    The  Investcorp  Group  effectively  operates  as  a  management-controlled  group, 
substantially all of whose assets and operations are owned and controlled by Investcorp S.A., 
a company domiciled in the Cayman Islands.   Certain of the Investcorp Group’s directors and 
senior executive officers have the ability to indirectly control Investcorp S.A.  
IIA LLC provides advisory services for Private Equity and Strategic Capital.  This Brochure 
discusses the business practices of IIA LLC only in connection Investcorp Strategic Capital 
Partners Group (“ISCG”).  Please see the Firm’s other Brochure for a discussion of the Firm’s 
business practices relating to its Private Equity advisory services.   
N.A. Investcorp LLC (“NAILLC”) and other affiliated entities act as placement agents for ISCG 
products.    Please  see  Item  10,  “Other  Financial  Industry  Activities  and  Affiliations”  for 
additional information on IIA LLC’s arrangements with its affiliates. 
IIA  LLC  does  not  participate  in  wrap  fee  programs.  The  Firm  manages  private  funds,  co-
investment  vehicles,  and  managed  accounts  on  a  discretionary  basis,  except  as  may  be 
limited in the relevant advisory client’s advisory agreement. 
Overview of Investcorp Strategic Capital Advisory Services  
Investcorp  launched  its  ISCG  business  in  2019.    As  part  of  its  business  ISCG  provides 
investment management services to private funds (collectively the “Funds”) that  identify, 
and make strategic investments in, alternative asset managers to private funds, collective 
investment vehicles and separately managed accounts sponsored, managed or advised by 
such  alternative  asset  managers  (such  alternative  asset  managers,  collectively  “Portfolio 
Managers,”  such  private  funds,  collective  investment  vehicles  and  separately  managed 
accounts,
                                        
                                        
                                             “Portfolio Funds” and such investments by the Funds in Portfolio Managers and/or 
Portfolio  Funds,  “Portfolio  Investments”).    The  Funds  are  exempt  from  registration  as 
investment  companies  under  the  Investment  Company  Act  of  1940.    Certain  Funds  are 
pooled funds with multiple investors, while other Funds are set up to enable a single investor 
to have its assets managed in a manner similar to other Funds.  Employees or affiliates of IIA 
LLC that meet investor qualifications can invest in the Funds. 
IIA LLC may retain other consultants and advisers as it deems desirable for the performance 
of its management responsibilities.   
Certain  Funds  are  organized  in  a  master-feeder  structure.  Other  funds  sponsored  or 
managed by IIA LLC, or its affiliates may invest all or a portion of their assets in a master 
fund on different terms or conditions than those available to the feeder funds. 
Certain Funds are divided into different classes, sub-classes and/or series of shares in order 
to reflect different rights, obligations, privileges and other terms, which may include without 
limitation  different  trading  strategies,  priorities  in  redemption  (and/or  liquidation),  and 
different fee obligations.  Certain Funds may issue additional classes or series of shares from 
time to time on the same or different terms from existing classes. 
ISCG manages all Funds in a manner consistent with their advisory agreements, operating 
agreements and offering documents, including any investment restrictions specified therein.  
The purchase of interests in the Funds will only be made by investors that meet qualification 
standards (“Interests”). 
 
Assets Under Management 
IIA LLC’s regulatory assets under management (”RAUM”) in ISCG were $ 1.3 billion as of June 
30, 2023, all of which were managed on a discretionary basis.  IIA LLC’s total RAUM in ISCG 
and Private Equity investment products were approximately $4.1 billion as of June 30, 2023, 
all of which were managed on a discretionary basis.