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Aristotle Capital Management
Aristotle Capital Management is an SEC-registered investment adviser in LOS ANGELES, CA, registered since 2001. The firm manages approximately $43.5 billion in...
Aristotle Capital Management
Aristotle Capital Management is an SEC-registered investment adviser in LOS ANGELES, CA, registered since 2001. The firm manages approximately $43.5 billion in regulatory assets. It has 170 employees and 18 investment advisers.
General information
Firm type
RIA
Year founded
2001
AUM
$49.2B
Location
Region
North America
Country
United States
City
Los Angeles
Corporate office
Los Angeles, CA, United States
Additional offices
Newport Beach · Boston · Sarasota
Sector focus
Frequently asked questions
Who runs investment decisions at Aristotle?
Aristotle Capital Management operates through four independent investment teams, each led by its own portfolio managers. The firm does not publicly name a single CEO or CIO, but the teams at Aristotle Capital Management, Aristotle Capital Boston, Aristotle Atlantic Partners, and Aristotle Pacific Capital each manage their respective strategies autonomously (per firm website).
How does Aristotle source proprietary deal flow?
The firm's investment teams use a research-driven, fundamentals-based framework to identify high-quality businesses with sustainable competitive advantages. Proprietary research is generated through fundamental analysis, company visits, and financial modeling, rather than through a formal proprietary deal flow network.
Is Aristotle structured as a family office or does it operate more like a traditional asset manager?
Aristotle is not a family office. It is registered as an independent investment adviser under the Investment Advisers Act of 1940. The firm is majority employee-owned and manages assets for institutional and advisory clients, not for a single family.
What investment stages does Aristotle typically target?
Aristotle primarily invests in publicly traded equities and fixed income securities. It does not target venture capital or private equity stages. The firm's strategies span U.S., international, and global equities, as well as investment grade, high yield, and structured fixed income.
Which sectors does Aristotle explicitly avoid?
The firm does not publicly disclose explicit avoidance of any sectors. Its investment universe is defined by the quality and valuation criteria of its research framework, which typically excludes companies without sustainable competitive advantages or with excessive leverage.
Does Aristotle maintain philanthropic structures, and how are they separated?
The firm does not publicly disclose any philanthropic or foundation structures. Aristotle's operations are focused exclusively on investment management for external clients.
What is Aristotle's known posture on co-investments alongside external GPs?
Aristotle does not publicly describe co-investment activity. Its strategies are centered on public market securities, not private deals or fund commitments.
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