Asset ManagerRIA · CRD 177513SEC-RegisteredPrivate Fund Adviser

Updated:

iCapital Advisors

iCapital Advisors manages private equity, venture, and secondaries strategies via fund-of-funds and co-investments.

iCapital Advisors logo

iCapital Advisors

iCapital Advisors was established in 2013 as a US-based asset manager. It focuses on private markets strategies without a disclosed family wealth origin. The firm invests through fund commitments, secondaries, and co-investments. Its strategy mix covers buyout, growth equity, venture capital, private debt, real estate, and natural resources. Geographic reach includes the United States and Europe. No specific portfolio companies or dated deal sizes appear in available records. Team size and additional offices remain undisclosed. No operational events from the last 24 months are documented. The firm operates as a generalist fund-of-funds manager without evident hybrid structures or succession details in source material.

General information

Firm type

Generalist

Year founded

2013

AUM

Undisclosed

Location

Region

North America

Country

United States

City

New York

Corporate office

60 East 42nd Street 26th Floor, New York, NY 10165, United States

Sector focus

Private EquityVenture CapitalSecondariesReal EstatePrivate Debt

Frequently asked questions

Who runs investment decisions at iCapital Advisors?

No named principals or CIO appear in the source records.

Does iCapital Advisors participate in fund commitments or only direct deals?

The firm executes through fund-of-funds commitments, secondaries purchases, and co-investments.

What asset classes does iCapital Advisors target?

Allocations span private equity buyouts, venture capital, growth equity, private debt, real estate, and natural resources.

Where does iCapital Advisors invest geographically?

Primary activity centers on North America with additional exposure to Europe.

How is iCapital Advisors structured relative to family offices?

It functions as an independent asset manager offering fund-of-funds products rather than a single-family office.

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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