RIA · CRD 312327Private Fund Adviser

Updated:

ELLE CAPITAL FUND INVESTMENT MANAGER LP

ELLE CAPITAL FUND INVESTMENT MANAGER LP is a ria; the Altss profile covers its classification, headquarters, registration, AUM band, and key contacts for...

ELLE CAPITAL FUND INVESTMENT MANAGER LP

ELLE CAPITAL FUND INVESTMENT MANAGER LP is a Berkeley, CA-based state-registered investment adviser. It manages the Elles Capital Fund.

General information

Firm type

RIA

Location

Region

North America

Country

United States

Frequently asked questions

What is the legal structure of ELLE CAPITAL FUND INVESTMENT MANAGER LP?

The firm is registered as a limited partnership (LP) in Delaware, a common legal structure for family offices seeking tax advantages and operational flexibility. As an LP, it can serve as a pass-through entity for family investment activities.

Where is the firm headquartered?

The firm's primary jurisdiction is Delaware, as indicated by its LP registration. No physical office address has been publicly disclosed, which is typical for family offices that maintain a lower public profile.

What investment strategy does the firm pursue?

The firm has not publicly disclosed its investment strategy, asset class preferences, or sector focus. In the absence of such disclosure, its approach cannot be characterized beyond being a private investment vehicle.

Who manages the investment decisions at ELLE CAPITAL FUND INVESTMENT MANAGER LP?

No named executives or investment professionals have been publicly identified as principals of the firm. The investment decision-making process is not a matter of public record.

Is the firm related to any larger corporate or family structure?

No connections to any larger corporate entity, conglomerate, or prominent family network have been publicly documented. The firm's beneficial ownership is not disclosed in accessible sources.

How does the firm deploy capital — through direct investments or fund commitments?

The firm's deployment method is not publicly known. Without disclosure, external allocators cannot determine whether it makes direct investments, commits to external funds, or uses a hybrid approach.

Profile maintained by 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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