Fund of Funds

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Kairos K50 Fund

Without a public founding date or named principals, the firm's origins remain undisclosed, but the geographic range implies a relatively recent or evolving...

Kairos K50 Fund

Without a public founding date or named principals, the firm's origins remain undisclosed, but the geographic range implies a relatively recent or evolving structure. The firm is structured as a fund-of-funds model, though it also pursues direct co-investments. This hybrid strategy allows access to diversified asset pools while retaining the ability to make concentrated, high-conviction bets. Team size and total assets under management are not publicly disclosed. The absence of a LinkedIn presence or maintained website limits external visibility into the firm's scale or track record. No recent operational events—such as fund closes or key hires—could be verified from public records. A structural differentiator is the firm's multi-city footprint without a single dominant hub, which may facilitate localized sourcing across distinct ecosystems. However, the lack of publicly verifiable data on deals, performance, or management makes a full assessment of its architectural uniqueness impossible.

General information

Firm type

Fund of Funds

Year founded

2012

Location

Region

North America

Country

United States

City

Menlo Park

Corporate office

Menlo Park, CA, United States

Additional offices

Austin, TX, United States · Dublin, Ireland · San Francisco, CA, United States · New York, NY, United States

Frequently asked questions

Who are the key investment professionals at Kairos K50 Fund?

No named principals or investment professionals have been publicly identified for Kairos K50 Fund. The firm does not list a team on any accessible platform, and its LinkedIn presence is absent. This lack of transparency is unusual for an institutionally facing asset manager.

What is the AUM range of Kairos K50 Fund?

The assets under management at Kairos K50 Fund are undisclosed. No public filings, media reports, or official communications contain a figure. The firm's AUM is categorized as Undisclosed.

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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