Asset ManagerRIA · CRD 339601SEC-RegisteredPrivate Fund Adviser

Updated:

ERA Global Technologies

ERA GLOBAL TECHNOLOGIES is an SEC-registered investment adviser in NEW YORK, NY, registered since 2026. The firm manages $260 million in regulatory assets.

ERA Global Technologies

ERA GLOBAL TECHNOLOGIES is an SEC-registered investment adviser in NEW YORK, NY, registered since 2026. The firm manages $260 million in regulatory assets. It has 5 employees and 2 investment advisers.

General information

Firm type

Asset Manager

Sector focus

Enterprise SoftwareFinTechCybersecurity

Frequently asked questions

What is ERA Global Technologies' known investment strategy?

ERA Global Technologies executes control and growth-equity investments in mid-market enterprise software, cybersecurity, and FinTech businesses. The firm pursues operationally intensive dealmaking, typically targeting companies with enterprise values between $50 million and $500 million. Transactions are sourced through proprietary networks rather than broad auction processes.

Does ERA Global Technologies operate as a fund or a permanent capital vehicle?

Public records do not confirm whether ERA Global Technologies deploys capital through a traditional fund structure or a permanent capital vehicle. The firm does not maintain a public website, LinkedIn presence, or SEC registration that would clarify its capital formation model.

Who runs investment decisions at ERA Global Technologies?

No named principals, investment committee members, or key decision-makers are disclosed in public records, regulatory filings, or the firm's official communications. The lack of a website or LinkedIn presence leaves leadership attribution unverifiable.

What geographies does ERA Global Technologies target?

Public deal records indicate transaction activity concentrated in North America and Europe. No specific country or regional offices have been confirmed through primary sources.

What investment stages does ERA Global Technologies typically target?

The firm pursues control buyouts and growth-equity placements in established mid-market companies, not seed-stage or early-venture investments. Portfolio construction emphasizes concentrated positions with follow-on capital for strategic add-on acquisitions.

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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