other names
{{ Info.Overview }}
Revenue {{ Info.Revenue | formatUSD }}
Headquarters {{ Info.Headquarters }}

Adviser Profile

As of Date 06/03/2024
Adviser Type - Large advisory firm
Number of Employees 13 -13.33%
of those in investment advisory functions 9 -25.00%
Registration SEC, Approved, 12/06/2013
AUM* 515,560,663 32.07%
of that, discretionary 515,560,663 32.07%
Private Fund GAV* 249,319,769 65.10%
Avg Account Size 128,890,166 -33.97%
SMA’s No
Private Funds 2 1
Contact Info 212 xxxxxxx

Client Types

- Business development companies
- Pooled investment vehicles
- Corporations or other businesses not listed above

Advisory Activities

- Portfolio management for investment companies
- Portfolio management for pooled investment vehicles

Compensation Arrangments

- A percentage of assets under your management
- Performance-based fees

Recent News

Reported AUM

Discretionary
Non-discretionary
390M 335M 279M 223M 167M 112M 56M
2015 2016 2017 2018 2019 2020 2021 2022 2023

Private Funds



Employees

Private Funds Structure

Fund Type Count GAV
Fund TypePrivate Equity Fund Count2 GAV$249,319,769

Similar advisers

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 TECHQUITY CAPITAL MANAGEMENT Hedge Fund- Liquidity Fund- Private Equity Fund293.5m Real Estate Fund- Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV293.5m AUM293.5m #Funds3
Adviser RIVERCREST CAPITAL MANAGEMENT LLC Hedge Fund- Liquidity Fund- Private Equity Fund249.7m Real Estate Fund- Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV249.7m AUM328.4m #Funds3
Adviser PIKE STREET CAPITAL Hedge Fund- Liquidity Fund- Private Equity Fund430.2m Real Estate Fund- Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV430.2m AUM430.2m #Funds4
Adviser AMERICAN TRIPLE I, LLC Hedge Fund- Liquidity Fund- Private Equity Fund390.6m Real Estate Fund- Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV390.6m AUM390.6m #Funds1
Adviser TOPSPIN MANAGEMENT COMPANY LBO LLC Hedge Fund- Liquidity Fund- Private Equity Fund346.2m Real Estate Fund- Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV346.2m AUM457.0m #Funds13
Adviser GLS CAPITAL, LLC Hedge Fund- Liquidity Fund- Private Equity Fund341.8m Real Estate Fund- Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV341.8m AUM428.5m #Funds2
Adviser HALLE CAPITAL MANAGEMENT LP Hedge Fund- Liquidity Fund- Private Equity Fund536.3m Real Estate Fund- Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV536.3m AUM504.7m #Funds11
Adviser NEW CAPITAL PARTNERS Hedge Fund- Liquidity Fund- Private Equity Fund355.3m Real Estate Fund- Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV355.3m AUM355.3m #Funds5
Adviser EUREKA EQUITY PARTNERS Hedge Fund- Liquidity Fund- Private Equity Fund244.8m Real Estate Fund- Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV244.8m AUM359.6m #Funds3
Adviser LATTICEWORK CAPITAL MANAGEMENT LLC Hedge Fund- Liquidity Fund- Private Equity Fund521.2m Real Estate Fund- Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV521.2m AUM521.2m #Funds5

Brochure Summary

Overview

CM Investment Partners, LLC (“CMIP”) is indirectly majority owned by Investcorp International Holdings Inc., which is part of the Investcorp group of companies (“Investcorp Group”). Investcorp Credit Management US LLC, an indirectly wholly owned subsidiary of Investcorp International Holdings Inc., holds a 76% ownership interest in CMIP. 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. CMIP provides advisory services to a business development company (“BDC”), two private funds, and a Separately Managed Account (“SMA”). This Brochure discusses CMIP’s business practices with relation to the advisory services it provides to its private funds. CMIP registered as an investment advisor with the SEC in 2013. In 2019, the Investcorp Group acquired a majority stake in CMIP. In January 2023, CMIP acquired and began providing discretionary investment advisory services to SP ALC Credit, L.P., (“SP ALC”) a private fund, pursuant to an investment management agreement. This vehicle invests in middle-market loans (i.e. investments in securities issued by collateralized loan obligations). Investcorp Private Credit Fund I (“IPCF I”), is a Delaware statutory trust that is exempt from registration as an investment company
under the Investment Company Act of 1940 pursuant to Section 3(c)(7). IPCF I was previously a wholly owned subsidiary of a BDC also managed by CMIP, Investcorp US Institutional Private Credit Fund (“IPCF”). As of the date of this filing IPCF has been deregistered as a BDC, transferred its assets to IPCF I, and subsequently liquidated. IPCF I invests primarily in private middle-market companies, through first lien, unitranche, second lien, and unsecured debt financing, with corresponding equity co-investments in some cases. In its role as advisor to IPCF I and SP ALC (together the “Private Funds”), CMIP (i) identifies, evaluates, and recommends potential investment opportunities for the Private Funds; (ii) negotiates and monitors investments of the Private Funds; (iii) renders reports, analyses and other information regarding the Private Funds’ investments; and (iv) advises the general partner and trustees of the Private Funds on other matters as may be requested. CMIP does not provide investment advice to the underlying investors of the Private Funds. CMIP provides reports and analyses of the Private Fund’s investments to investors in the fund upon request. CMIP also provides advisory services to an SMA wholly owned by CMIP’s affiliates. CMIP does not participate in wrap fee programs. Assets Under Management CMIP’s regulatory assets under management (“RAUM”) are $224,309,889 on a discretionary basis in private fund assets and $515,560,663 in total assets as of December 31, 2023.