# Benchmark Plus Management

Benchmark Plus Management is an Asset Manager.

## Overview

- **Organization type:** Asset Manager
- **Assets under management:** Undisclosed
- **LinkedIn:** https://www.linkedin.com/company/1209349

## Regulatory record

- **CRD number:** 127471
- **SEC file number:** 801-62490
- **Registration status:** Registered
- **Reports private funds:** Yes
- **IAPD record:** https://adviserinfo.sec.gov/firm/summary/127471

## About

Benchmark Plus Management is an SEC-registered investment adviser in Gig Harbor, WA, registered since 2003. The firm manages approximately $767 million in regulatory assets. It has 5 employees and 2 investment advisers.

## Questions

### What is Benchmark Plus Management's investment strategy?

The firm operates a fund-of-hedge-funds model, constructing multi-manager portfolios that combine established macro and relative-value strategies with niche, capacity-constrained managers. The focus is on delivering uncorrelated absolute returns through careful manager selection and portfolio construction, rather than direct single-company or single-asset investments. Public records indicate an emphasis on diversifying across equity long/short, event-driven, and credit-oriented strategies.

### What is Benchmark Plus Management's approach to risk management?

As a manager-of-managers, Benchmark Plus's risk framework relies on ongoing monitoring of underlying fund exposures, style drift, and liquidity terms. The firm builds portfolios aiming for diversification across strategies and time horizons, with a focus on avoiding hidden concentration risk — for example, multiple managers crowded into the same factor or sector bet. Specific risk limits or processes are not publicly documented, but the structure inherently separates manager research from underlying trade execution, intended to reduce conflicts of interest.

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Last updated: 2026-06-03T20:00:00.000Z

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