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Adviser Profile

As of Date 03/28/2024
Adviser Type - Large advisory firm
Number of Employees 7
of those in investment advisory functions 6
Registration SEC, Approved, 7/26/2023
Other registrations (2)
Former registrations

SC MANAGEMENT LLC

AUM* 631,402,171
of that, discretionary 631,402,171
Private Fund GAV* 617,098,906 39.28%
Avg Account Size 30,066,770
SMA’s No
Private Funds 21
Contact Info 908 xxxxxxx
Websites

Client Types

- Pooled investment vehicles

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
1 1 1 1

Private Funds



Employees

Private Funds Structure

Fund Type Count GAV
Fund TypePrivate Equity Fund Count21 GAV$617,098,906

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Brochure Summary

Overview

SC Management is an investment advisory firm formed in 2018 and is a Delaware limited liability company that is currently headquartered in New York, NY. As set forth in the Firm’s Form ADV Part 1, Schedules A and B, the Firm is principally owned indirectly by Mr. Jason Stein and other seed investors through entities under such persons’ control. Mr. Jason Stein and Mr. Daniel Haimovic are Managers of SC Management (each a “Manager” and together, the “Managers”). Types of Advisory Services SC Management manages assets principally from growth equity investments and minority investments made in connection with private equity buy-out transactions across consumer, technology, and entertainment sectors. The Firm serves as an investment advisor to private equity pooled investment vehicles formed as Delaware limited partnerships or limited liability companies (each a “Fund” and collectively “the Funds”) with affiliates of SC Management serving as the general partner or special member (in each case, referred to herein as a “Special Member”), as applicable, of the Funds. The Firm may decide in the future to sponsor or manage additional private investment funds or other clients, which may be domiciled in other jurisdictions. SC Management manages Funds that pursue multiple investment opportunities or utilize special purpose vehicles established to invest exclusively in a single portfolio company or real estate holding. The Firm and affiliated general partner entities may (and do) form and serve (directly or indirectly) as general partner (or in a similar management
role) of one or more Funds that are operated as co-investment vehicles, alternative investment vehicles or other partnerships or entities organized as determined in their sole discretion (each, an “SPV” or “Co-investment”). The specific investment strategy and applicable mandates for each Fund are disclosed in the Fund’s summary of terms, limited partnership agreement or limited liability company operating agreement, series schedule and subscription documents (collectively, the “Governing Documents”), as applicable. The Funds offer limited partnership or membership interests, as applicable (“Interests”) to certain accredited investors as described in response to Item 7 below (such investors are referred to herein as “Investors”). Client Tailored Services and Client Imposed Restrictions Advisory services are tailored to achieve each Fund’s investment objectives. Investment advice is provided directly to each Fund and not individually to the Investors. The Firm has the authority to select which and how many portfolio companies to invest in and determine exit strategies, subject to any restrictions as outlined in the applicable Fund’s Governing Documents. In addition, certain SPVs may be (and have been) established to invest exclusively in a single portfolio company. The overall investment strategy or investment mandates of the Funds and SPVs is disclosed in the Governing Documents for those entities. Amounts Under Management As of December 31, 2023, the Firm has approximately $631,402,171 in regulatory assets under management.