SecondariesRIA · CRD 133792SEC-RegisteredPrivate Fund Adviser

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Glouston Capital Partners

Glouston Capital Partners was established in 1994 as a U.S.-based manager of secondary private equity vehicles. The firm allocates exclusively to private...

Glouston Capital Partners logo

Glouston Capital Partners

Glouston Capital Partners was established in 1994 as a U.S.-based manager of secondary private equity vehicles. The firm allocates exclusively to private equity via secondaries, co-investments, buyouts, and venture stages. Positions span early-stage startups through expansion and late-stage companies. Geographic coverage includes North America and Europe. No specific portfolio holdings or co-investors appear in available records. Assets under management stand at 3400 million USD. No additional offices, team size, or adjacent vehicles are recorded. No operational events from the last 24 months are documented. The firm functions as a dedicated secondary fund-of-funds vehicle without disclosed ties to a single wealth source or operating company.

General information

Firm type

Secondary

Year founded

1994

AUM

3400 (Altss estimate)

Location

Region

North America

Country

United States

City

Boston

Corporate office

800 Boylston Street Suite 1325, Boston, MA, United States

Sector focus

Secondaries & Special Situations

Frequently asked questions

Who runs investment decisions at Glouston Capital Partners?

No named principals or investment committee members are disclosed in available records.

Does Glouston Capital Partners participate in fund commitments or only direct deals?

The firm executes through secondary fund commitments, co-investments, and direct secondaries.

What investment stages does Glouston Capital Partners typically target?

Targets include early-stage, late-stage, growth, buyout, and restructuring opportunities.

Where does Glouston Capital Partners maintain investment exposure?

Primary markets are North America and Europe.

Is Glouston Capital Partners structured as a single family office?

No. It operates as an independent secondary fund-of-funds manager.

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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