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BAI Fund Manager
BAI Fund Manager, Inc. is an SEC-registered investment adviser in Beverly Hills, CA, registered since 2024. It is based in Beverly Hills, CA.
BAI Fund Manager
BAI Fund Manager, Inc. is an SEC-registered investment adviser in Beverly Hills, CA, registered since 2024. It is based in Beverly Hills, CA. The firm is registered with the SEC.
General information
Firm type
Asset Manager
Location
Region
North America
Country
United States
City
Beverly Hills
Corporate office
San Francisco, CA, United States
Frequently asked questions
Is BAI Fund Manager an active investment firm?
There is no public evidence that BAI Fund Manager is actively managing capital. It lacks an SEC registration, a public website, a LinkedIn page, and any mention in credible financial media. Its incorporation in San Francisco is a matter of public record, but the absence of operational signals — Form ADV filings, deal announcements, team LinkedIn profiles — suggests the entity may be dormant or purely administrative.
Who runs investment decisions at BAI Fund Manager?
No principals are disclosed. California business records and financial regulatory databases do not list a named CEO, CIO, managing partner, or investment committee member for BAI Fund Manager. Without an operating website or LinkedIn page, the decision-making structure — or whether any investment decisions are being made — remains opaque.
Does BAI Fund Manager have any known portfolio companies or co-investors?
None have been publicly identified. A review of Crunchbase, PitchBook, SEC filings, and industry publications yields no deals, direct investments, or co-investment relationships tied to BAI Fund Manager. For an active fund manager, some footprint in these databases would be expected even for a stealth-stage firm.
How is BAI Fund Manager structured?
The legal name "BAI Fund Manager, Inc." suggests a corporate structure, but the entity's regulatory stance is unclear. It does not appear in the SEC's Investment Adviser Public Disclosure (IAPD) database, nor does it have a visible Form D filing indicating a private fund. This could mean it is exempt from registration, has never raised external capital, or is no longer operational.
What asset classes or sectors does BAI Fund Manager target?
No investment mandate has ever been publicly disclosed. Without a website, fund marketing materials, or media coverage, there is no way to determine whether the firm intended to focus on venture capital, private equity, hedge funds, real estate, or another asset class.
Profile maintained by Altss using OSINT (open-source intelligence), regulatory filings, licensed data partners, and verified direct submissions. Read the methodology. Last updated: . Continuous refresh with full update cycles at least every 30 days.
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