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Adviser Profile

As of Date 09/26/2024
Adviser Type - Large advisory firm
- Outside the United States
Number of Employees 50 51.52%
of those in investment advisory functions 15 36.36%
Registration SEC, Approved, 06/17/2021
Other registrations (1)
Former registrations

PACIFIC CAPITAL PARTNERS LIMITED

AUM* 6,171,357,719 92.90%
of that, discretionary 5,360,562,363 73.75%
Private Fund GAV* 189,590,966 -64.76%
Avg Account Size 86,920,531 5.96%
SMA’s No
Private Funds 2 1
Contact Info 44 xxxxxxx
Websites

Client Types

- Pooled investment vehicles
- Other

Advisory Activities

- 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
3B 3B 2B 2B 1B 881M 441M
2021 2022

Private Funds



Employees

Private Funds Structure

Fund Type Count GAV
Fund TypeOther Private Fund Count2 GAV$189,590,966

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Brochure Summary

Overview

Pacific Capital Partners Limited, trading as Pacific Asset Management (“PAM”), is an independent, innovative, next generation asset management business that seeks to leverage developments in technology to distribute its suite of active single managers and blended multi asset funds. PAM’s team manage investments on behalf of institutions, wealth managers, family offices and financial advisers. PAM was founded in 1993 and is located in London, United Kingdom. PAM is authorized and regulated by the UK Financial Conduct Authority. PAM is directly owned by Pacific Investments Management Limited and a wholly owned subsidiary of Pacific Investments Limited, which is ultimately owned by Sir John Beckwith. PAM acts as the investment adviser to Pacific North of South EM All Cap Equity Fund (the “Fund”), a series of Pacific Capital Funds LLC, a Delaware series limited liability company which is offered into the U.S. under Regulation D. For further information on the Fund, please refer to Item 7. In providing asset management services, PAM formulates its investment objective, directs and manages the investment and reinvestment of each client’s assets. For the Fund, PAM manages the Fund’s
assets in accordance with the terms of the governing documents applicable to the Fund. PAM may enter into letter agreements or other similar agreements with Fund investors. For further information on these types of arrangements, please refer to Item 7. PAM also acts as the investment manager to an Irish umbrella UCITS fund range with several sub- funds. In addition to the above UCITS fund range and Delaware series, PAM also offers model portfolio services to clients through its Model Portfolio Solutions product. These service offerings are not available to U.S. investors or clients. PAM also provides non-discretionary investment management services to a Guernsey-based Management Company in relation to a number of Guernsey and Maltese funds. PAM does not currently tailor its advisory services to the individual needs of clients, but should PAM engage with a U.S. segregated account, it will consider tailoring its services to the individual needs of the clients, including allowing such clients to impose restrictions on investing in certain securities or types of securities. As of June 30, 2023, PAM manages $,070,302,284 on a discretionary basis. PAM manages $635,399,497 on a non-discretionary basis.